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Boosting Fiscal Space 扩大财政空间
Pub Date : 2018-03-01 DOI: 10.5089/9781484330937.087.A001
J. Ostry, Jun Il Kim
Noting that the aftermath of the global financial crisis has left many advanced economies with very high sovereign debt ratios and some emerging markets with high debt, this report considers whether there are ways to expand fiscal space that do not involve countries paying down debt or promising to do so in the future, to make fiscal consolidation more growth-friendly. It explains that policymakers argue that their fiscal space is limited and that it would be difficult to take advantage of the opportunity of low interest rates to undertake fiscal expansion, and it considers a ways to raise fiscal space that does not require contractionary fiscal policy and whether there is a way to make fiscal consolidation more growth-friendly to produce larger gains in fiscal space. It argues that debt management policies may provide an answer to expanding fiscal space for a given path of primary fiscal balances by reducing the risk that a sovereign may default in bad states and generate a payoff in terms of reduced to real borrowing costs. It describes two debt management policies: issuance of GDP-linked debt and issuance of longer maturity bonds, as opposed to short-term debt. It focuses on the effect of these debt management policies on real borrowing costs and default risk for the sovereign and details the literature on GDP-linked debt and the maturity structure and how the report fills gaps in the literature; how uncertainty affects fiscal space and how debt management can play a role in increasing it, with estimates and simulations of potential gains in fiscal space flowing from debt management; and the sensitivity of the findings to underlying assumptions and policy implications.
鉴于全球金融危机的后果导致许多发达经济体的主权债务比率非常高,一些新兴市场国家的债务也很高,本报告考虑是否有办法在不涉及国家偿还债务或承诺在未来偿还债务的情况下扩大财政空间,以使财政整顿更加有利于增长。报告解释说,政策制定者认为他们的财政空间有限,很难利用低利率的机会进行财政扩张,并考虑了一种不需要紧缩财政政策就能扩大财政空间的方法,以及是否有一种使财政整顿更加有利于增长的方法,以在财政空间中产生更大的收益。它认为,债务管理政策可以通过降低主权国家在不良状态下违约的风险,并以降低实际借贷成本的方式产生回报,为既定的基本财政平衡路径提供扩大财政空间的答案。它描述了两种债务管理政策:发行与gdp挂钩的债券和发行期限较长的债券,而不是短期债券。它侧重于这些债务管理政策对主权的实际借贷成本和违约风险的影响,并详细介绍了与gdp挂钩的债务和期限结构的文献,以及报告如何填补文献中的空白;不确定性如何影响财政空间以及债务管理如何在增加财政空间方面发挥作用,并对债务管理带来的财政空间潜在收益进行估算和模拟;以及研究结果对潜在假设和政策影响的敏感性。
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引用次数: 1
Public Infrastructure in the Western Balkans 西巴尔干地区的公共基础设施
Pub Date : 2018-02-01 DOI: 10.5089/9781484337189.087
R. Atoyan, Dóra Benedek, Ezequiel R. Cabezon, G. Cipollone, Jacques A Miniane, N. Nguyen, Martin Petri, J. Reinke, J. Roaf
An assessment of public infrastructure development in the Western Balkans. The paper quantifies the large gaps across various sectors/dimensions, evaluates current infrastructure plans, and discusses funding options available to countries in the region. The paper also identifies important bottlenecks for increased infrastructure investment. Finally, the paper quantifies potential growth benefits from addressing infrastructure gaps, concluding that boosting the quantity and quality of infrastructure is vital for raising economic growth and accelerating income convergence with the EU. The paper concludes with country-specific policy recommendations.
对西巴尔干地区公共基础设施发展的评估。该报告量化了各部门/维度之间的巨大差距,评估了当前的基础设施计划,并讨论了该地区各国可用的融资方案。报告还指出了增加基础设施投资的重要瓶颈。最后,本文量化了解决基础设施差距带来的潜在增长效益,得出结论认为,提高基础设施的数量和质量对于提高经济增长和加速与欧盟的收入趋同至关重要。报告最后提出了针对具体国家的政策建议。
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引用次数: 18
Public Wage Bills in the Middle East and Central Asia 中东和中亚的公共工资账单
Pub Date : 2018-01-01 DOI: 10.5089/9781484336731.087
Natalia T. Tamirisa, Christoph K. Duenwald
Analysis of policies for managing public sector wage bills in the Middle East and Central Asia region. While some work has been done recently at the Fund on issues related to government employment and compensation, to our knowledge, this is the first study to systematically examine, with a focus on the Middle East and Central Asia region, the recent trends and drivers of public wage bills in the region and to identify key policy implications.
中东和中亚地区公共部门工资单管理政策分析。虽然基金组织最近就与政府就业和薪酬有关的问题做了一些工作,但据我们所知,这是第一次以中东和中亚地区为重点,系统审查该地区公共工资账单的最新趋势和驱动因素,并确定关键政策影响的研究。
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引用次数: 24
Strengthening the West African Economic and Monetary Union 加强西非经济和货币联盟
Pub Date : 2015-10-01 DOI: 10.5089/9781513567334.087
Olivier Basdevant, P. Imam, Tidiane Kinda, A. Zdzienicka
West African Economic and Monetary Union (WAEMU) countries face a well-known dilemma between the need to provide shock-smoothing mechanisms and the lack of adequate mechanisms to do so. WAEMU countries are subject to frequent and, to a large extent, asymmetric shocks. They have remained poorly diversified and vulnerable to external shocks, such as changing weather conditions. In addition to limited shock-smoothing mechanisms at the regional level, WAEMU members’ ability to respond to shocks through national policies is also constrained by limited fiscal space and the need to preserve external stability—not only at the national level but also at the union level. In this context, developing a well-defined fiscal rule framework at the national level would help to build the necessary fiscal space for shock-smoothing. In addition, the development of specific shock-smoothing mechanisms—including a more developed and integrated financial sector—would also be critical. In addition, promoting financial development is also a challenge, which needs to be addressed in tandem with an adequate surveillance system. Some of these challenges have been faced by other monetary unions, such as the euro area.
西非经济和货币联盟(WAEMU)国家面临着众所周知的困境,一方面需要提供冲击平滑机制,另一方面又缺乏适当的机制来实现这一目标。西非货币联盟国家经常遭受不对称冲击,而且在很大程度上是如此。它们的多样化程度仍然很低,容易受到外部冲击的影响,比如天气条件的变化。除了区域层面的冲击平滑机制有限之外,西盟成员国通过国家政策应对冲击的能力也受到有限的财政空间和保持外部稳定的需要的制约——不仅在国家层面,而且在联盟层面。在此背景下,在国家层面制定明确的财政规则框架将有助于为冲击平滑建立必要的财政空间。此外,制定具体的冲击平滑机制——包括建立更加发达和一体化的金融部门——也至关重要。此外,促进金融发展也是一项挑战,需要与适当的监督制度结合起来加以解决。其中一些挑战已经被其他货币联盟所面临,比如欧元区。
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引用次数: 6
Libya Beyond the Revolution 革命之后的利比亚
Pub Date : 2012-04-01 DOI: 10.5089/9781475504392.872
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引用次数: 1
Expenditure Composition and Economic Development in Benin 贝宁的支出构成和经济发展
Pub Date : 2010-05-01 DOI: 10.5089/9781475507379.087
M. Pani, M. E. Harrak
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引用次数: 0
Wage Policy and Fiscal Sustainability in Benin 贝宁的工资政策和财政可持续性
Pub Date : 2010-05-01 DOI: 10.5089/9781462381821.871
C. Lundgren
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引用次数: 2
Foreign Exchange Reserve Adequacy in East African Community Countries 东非共同体国家外汇储备充足性
Pub Date : 2009-12-01 DOI: 10.5089/9781462366682.871
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引用次数: 5
Spillover Effects and the East African Community 溢出效应与东非共同体
Pub Date : 2009-12-01 DOI: 10.5089/9781455245161.871
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引用次数: 4
Impact of the Global Financial Crisis on Exchange Rates and Policies in Sub-Saharan Africa 全球金融危机对撒哈拉以南非洲地区汇率和政策的影响
Pub Date : 2009-12-01 DOI: 10.5089/9781462389889.871
Stella Kaendera, S. Dixit, N. Ltaifa
This paper studies the evolution of the exchange rates of sub-Saharan African currencies in the context of the global financial crisis. In particular, it analyzes the reasons behind the differences in the magnitude and volatility of the exchange rates among countries. To this end, it takes a sample of seven countries, four members of the East African Community (EAC) (Kenya, Rwanda, Tanzania, and Uganda), and three others, which experienced large exchange rate losses at the onset of the crisis: Ghana, Nigeria, and Zambia. First, it analyzes the movements of the exchange rates with respect to the U.S. dollar and two other major currencies. Second, it tries to link the magnitude of their movements to key factors, relating to the external environment and the countries’ internal policies.
本文研究了全球金融危机背景下撒哈拉以南非洲地区货币汇率的演变。特别分析了各国之间汇率幅度和波动性差异的原因。为此,本文选取了7个国家作为样本,其中4个是东非共同体(EAC)成员国(肯尼亚、卢旺达、坦桑尼亚和乌干达),另外3个在危机开始时经历了巨大汇率损失的国家是加纳、尼日利亚和赞比亚。首先,它分析了相对于美元和其他两种主要货币的汇率变动。其次,它试图将其流动的幅度与与外部环境和各国内部政策有关的关键因素联系起来。
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引用次数: 20
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