Fiscal Vulnerability and Financial Crises in Emerging Market Economies

Business & Finance, Economics, Public Finance, Finance & Investing, Banks & Banking, Macroeconomics
Cover of the book Fiscal Vulnerability and Financial Crises in Emerging Market Economies by Richard Mr. Hemming, Axel Mr. Schimmelpfennig, Michael Mr. Kell, INTERNATIONAL MONETARY FUND
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Author: Richard Mr. Hemming, Axel Mr. Schimmelpfennig, Michael Mr. Kell ISBN: 9781452766133
Publisher: INTERNATIONAL MONETARY FUND Publication: May 23, 2003
Imprint: INTERNATIONAL MONETARY FUND Language: English
Author: Richard Mr. Hemming, Axel Mr. Schimmelpfennig, Michael Mr. Kell
ISBN: 9781452766133
Publisher: INTERNATIONAL MONETARY FUND
Publication: May 23, 2003
Imprint: INTERNATIONAL MONETARY FUND
Language: English
Fiscal problems have long been considered a central feature of financial--that is, currency, debt, and banking--crises. This paper addresses four questions: What are the fiscal causes of crises? Which fiscal vulnerability indicators help to predict crises? Can fiscal variables explain the severity of crises? And what are the fiscal consequences of crises? Its findings are based on statistical analysis of a large data set of fiscal variables for 29 emerging market economies over 1970-2000 and detailed case studies of 11 emerging market crises during the 1990s that focus on structural and institutional dimensions of fiscal vulnerability.
View on Amazon View on AbeBooks View on Kobo View on B.Depository View on eBay View on Walmart
Fiscal problems have long been considered a central feature of financial--that is, currency, debt, and banking--crises. This paper addresses four questions: What are the fiscal causes of crises? Which fiscal vulnerability indicators help to predict crises? Can fiscal variables explain the severity of crises? And what are the fiscal consequences of crises? Its findings are based on statistical analysis of a large data set of fiscal variables for 29 emerging market economies over 1970-2000 and detailed case studies of 11 emerging market crises during the 1990s that focus on structural and institutional dimensions of fiscal vulnerability.

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