Monetary and fiscal policy challenges in emerging markets amid elevated uncertainty

IF 2.8 2区 经济学 Q2 BUSINESS, FINANCE Journal of International Money and Finance Pub Date : 2024-09-23 DOI:10.1016/j.jimonfin.2024.103199
Joshua Aizenman , John Beirne , Menzie D. Chinn , Yothin Jinjarak , Donghyun Park
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Abstract

This editorial discusses papers published in a special issue that focuses on monetary and fiscal policy effectiveness and challenges in emerging economies, particularly during periods of amplified global risk aversion and financial market volatility.
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新兴市场在不确定性增加的情况下面临货币和财政政策挑战
这篇社论讨论了发表在特刊上的论文,特刊重点关注新兴经济体货币和财政政策的有效性及面临的挑战,尤其是在全球风险规避和金融市场波动加剧的时期。
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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来源期刊
CiteScore
4.20
自引率
4.00%
发文量
141
期刊介绍: Since its launch in 1982, Journal of International Money and Finance has built up a solid reputation as a high quality scholarly journal devoted to theoretical and empirical research in the fields of international monetary economics, international finance, and the rapidly developing overlap area between the two. Researchers in these areas, and financial market professionals too, pay attention to the articles that the journal publishes. Authors published in the journal are in the forefront of scholarly research on exchange rate behaviour, foreign exchange options, international capital markets, international monetary and fiscal policy, international transmission and related questions.
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Editorial Board Can fiscal consolidations announcements help anchor inflation expectations? Influence of ESG on corporate debt default risk: An analysis of the dual risk scenarios The effects of inflation uncertainty on firms and the macroeconomy Reconciling contrasting views on the growth effect of currency misalignments
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