Default risk and fiscal sustainability in PIIGS countries

Nadiya Kazakova, Heorhii Petrov
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Abstract

During the entire period of existence and expansion of the European Union, the integration of the economies of the new countries of the union was strengthened. Thus, in the 1990s, the term "PIIGS countries" was born, which became the most widespread after the financial crisis in the EU in 2008, and which was often used in relation to the southern European countries of the EU (Portugal, Ireland, Italy, Greece and Spain), which were the most affected from growing debt and economic vulnerability. There have always been less developed states and more problematic countries in the economic environment, which today fall under the classification of peripheral countries of the European Union. The subject of research in the article is the default risk and fiscal stability of the PIIGS countries. The goal is to identify existing default risks and existing violations of fiscal stability in the PIIGS countries. The objective is to research the dynamics of the development of the economies of the PIIGS countries in the conditions of modern crises and challenges. General scientific methods are used, such as system analysis - to determine the peculiarities of the development of the economies of the PIIGS countries, the method of comparative analysis, thanks to which the peculiarities of the economies of the PIIGS countries, the peculiarities of their debt and fiscal policies are analyzed. Also, comparative analysis is used to study the difference between the PIIGS countries in terms of their default risk and fiscal sustainability. The following results were obtained: based on the analysis of the debt and fiscal stability of the PIIGS countries, problematic aspects were identified and the components of the economies of these countries were determined, as well as the factors influencing the risk of default and the quality of the fiscal stability of the PIIGS countries were calculated. Conclusions: The article identifies default risks for each of the PIIGS countries and their level of fiscal sustainability. Various methods of solving economic problems for the PIIGS countries have been studied and proposed, which will help these countries avoid default and improve their fiscal sustainability. Each of the PIIGS countries was studied separately. This made it possible to draw acceptable conclusions about each country.
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PIIGS国家的违约风险和财政可持续性
在欧洲联盟存在和扩大的整个时期,该联盟新成员国的经济一体化得到了加强。因此,在20世纪90年代,“PIIGS国家”一词诞生了,并在2008年欧盟金融危机后成为最广泛使用的术语,并且经常用于欧盟的南欧国家(葡萄牙,爱尔兰,意大利,希腊和西班牙),这些国家受债务增长和经济脆弱性的影响最大。在经济环境中一直存在着欠发达国家和问题较多的国家,这些国家今天属于欧盟外围国家的分类。本文的研究主题是PIIGS国家的违约风险与财政稳定。目标是确定欧猪五国现有的违约风险和违反财政稳定的行为。目的是研究在现代危机和挑战的条件下,PIIGS国家经济发展的动态。使用一般的科学方法,如系统分析-确定PIIGS国家经济发展的特点,比较分析方法,通过比较分析,分析PIIGS国家经济的特点,其债务和财政政策的特点。通过比较分析,研究了PIIGS国家在违约风险和财政可持续性方面的差异。研究结果如下:通过对PIIGS国家债务和财政稳定的分析,找出了问题的方面,确定了这些国家的经济构成,并计算了影响PIIGS国家违约风险和财政稳定质量的因素。结论:本文确定了每个PIIGS国家的违约风险及其财政可持续性水平。研究并提出了解决PIIGS国家经济问题的各种方法,这将有助于这些国家避免违约,提高其财政可持续性。每个PIIGS国家都被单独研究。这使得对每个国家得出可以接受的结论成为可能。
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