Past Experiences and Current Mindset Reveal Crisis Mechanism and Financial sustainability Insights. Evidences from Albania

Sibora Skenderi
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Abstract

Periodic economic crises have been a well-recorded phenomenon in nations with capitalist economies since the first half of the 19th century. The effects and repercussions of the global financial crisis of 2007 were undoubtedly felt, even in a small nation like Albania. During the crisis, it became evident that traditional policies that stressed macroeconomic stability were insufficient and that bold action by central banks was necessary to offer flexibility in monetary policy regulations and ensure crisis recovery. This article provides a theoretical explanation of the crisis process as well as a discussion of the Bank of Albania's policy decisions made during two separate crises, the Global Financial Crisis and the Covid-19 Pandemic. In order to emphasize the most significant events and interpret the insights in each stage of the financial cycle, this article was undertaken from the perspective of comparison of various timelines. When looking at financial crises from a macroeconomics perspective, the descriptive method is used to analyse the evidence in a country like Albania. The findings of this study highlight the measures made by the Bank of Albania and the government to manage the economic crisis and strive to reduce its long-term repercussions. The purpose of the study is to provide macroeconomic indicator data on the Central Bank of Albania's response to the aforementioned crises in order to aid policymakers in reflecting on the direction of their policies during two separate periods of crisis.
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过去的经验和现在的心态揭示危机机制和金融可持续性的见解。来自阿尔巴尼亚的证据
自19世纪上半叶以来,周期性经济危机在资本主义经济国家中一直是一个记录良好的现象。毫无疑问,2007年全球金融危机的影响和影响是显而易见的,即使在阿尔巴尼亚这样的小国也是如此。在危机期间,强调宏观经济稳定的传统政策显然是不够的,中央银行必须采取大胆行动,以提供货币政策监管的灵活性,并确保危机复苏。本文对危机过程进行了理论解释,并讨论了阿尔巴尼亚银行在全球金融危机和Covid-19大流行这两场独立危机期间做出的政策决定。为了强调最重要的事件,并解释在金融周期的每个阶段的见解,本文是从比较不同的时间线的角度进行的。当从宏观经济学的角度看待金融危机时,描述性方法被用于分析像阿尔巴尼亚这样的国家的证据。这项研究的结果强调了阿尔巴尼亚银行和政府为管理经济危机和努力减少其长期影响而采取的措施。这项研究的目的是提供关于阿尔巴尼亚中央银行对上述危机的反应的宏观经济指标数据,以帮助决策者在两个不同的危机时期反思其政策的方向。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
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