摘要:随着全球化经济时代的发展,物流业与金融业作为国民经济运行中的两个重要行业,存在着日益密切的相互协调、相互支持的发展关系。论文运用理论介绍与定量分析相结合的方法,分别对物流业与金融业的现状作出了研究以及其协调度进行了测算。
本文首先对2000-2010年以来江苏省的物流业与金融业的发展现状作出了详细的阐述,接着是对二者目前的协调发展是当今发展的必然趋势作了进一步的描述,在此基础上运用灰色关联模型,结合江苏省物流业与金融业的具体情况,测算了2000-2009年江苏省“两业”之间的协调度。为进一步证实江苏省物流业与金融业协调发展的经济关系,本文采用回归模型对物流业与金融业协调关系进行计量分析。最后,根据以上分析出的存在的问题提出了促进物流业与金融业协调发展的对策建议。
关键词:金融业;物流业;灰色关联分析;回归分析;协调发展
Abstract:With the development of the global economic times, the logistics industry and the financial industry, as two major industries of the national economy, have been increasingly interconnected and mutual-supported. This paper applies the method of theoretical introduction and quantitative analysis to the research on the present situation of the logistics and the financial industry, and the respective coordination calculation.
Firstly, this paper gives a detailed description of the present situation of the logistics and the financial industry between 2000 and 2010 of Jiangsu province. And then it present a further explanation for the topic that the coordinated development of these two industries is the inevitable trend of the current development. On the above basis, it adopts the grey correlation model to calculate the coordination degree of the " two industries" between 2000 and 2009, combing with the specific situation of the logistics and the financial industry of Jiangsu Province. In order to further confirm the coordinate economic relationship between the logistics industry and the financial industry of Jiangsu Province, this paper adopts the regression model to the measurement analysis of these two industries. Finally, according to the above analysis of the existing problems, some related suggestions are put forward to promote the coordinate development of the logistics industry and the financial industry.
Key words: financial industry; logistics industry; grey interrelation analysis; regression model; coordinated development