COVID-19大流行对加密货币市场的影响

Nidhal Mgadmi, A. Béjaoui, Wajdi Moussa, Tarek Sadraoui
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引用次数: 1

摘要

本文的目的是分析影响财政平衡演变的主要因素,从而确定配置可持续财政政策的解决方案。我们选择了一些主要的宏观经济指标作为自变量,分别是公共债务、失业率、经济开放程度、人口、消费品价格指数、经常账户余额、外国直接投资和经济增长率。我们的研究方法使用了两个计量经济学模型,分别应用于22个国家的样本,分别是14个发达国家和8个新兴国家。第一个模型是多元回归,研究财政平衡与所选自变量之间的联系,而第二个模型使用一阶差分,引入经济自由度作为伪变量,以捕捉所选措施对财政结果的动态影响。考虑的时间间隔为1999-2013年。使用这两个模型得出的结果表明,公共债务、经常账户余额和经济增长显著影响财政平衡。因此,政府需要规划和实施与经济优先事项和经济周期阶段相一致的财政政策,并确保对公共债务进行适当管理,刺激可持续经济增长和就业。
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The Impact of the COVID-19 Pandemic on the Cryptocurrency Market
The purpose of our paper is to analyze the main factors which influence fiscal balance’s evolution and thereby identify solutions for configuring a sustainable fiscal policy. We have selected as independent variables some of the main macroeconomic measures, respectively public debt, unemployment rate, economy openness degree, population, consumer goods’ price index, current account balance, direct foreign investments and economic growth rate. Our research method uses two econometric models applied on a sample of 22 countries, respectively 14 developed and 8 emergent. The first model is a multiple regression and studies the connection between the fiscal balance and selected independent variables, whereas the second one uses first order differences and introduces economic freedom as a dummy variable to catch the dynamic influences of selected measures upon fiscal result. The time interval considered was 1999-2013. The results generated using the two models revealed that public debt, current account balance and economic growth significantly influence the fiscal balance. As a consequence, the governments need to plan and implement a fiscal policy which resonates with economy priorities and the phase of the economic cycle, as well as ensure a proper management of the public debt, stimulate sustainable economic growth and employment.
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来源期刊
CiteScore
1.40
自引率
0.00%
发文量
23
审稿时长
10 weeks
期刊介绍: The Journal called Scientific Annals of Economics and Business (formerly Analele ştiinţifice ale Universităţii "Al.I. Cuza" din Iaşi. Ştiinţe economice / Scientific Annals of the Alexandru Ioan Cuza University of Iasi. Economic Sciences), was first published in 1954. It is published under the care of the Alexandru Ioan Cuza University, the oldest higher education institution in Romania, a place of excellence and innovation in education and research since 1860. Throughout its editorial life, the journal has been continuously improving. Renowned professors, well-known in the country and abroad, have published in this journal. The quality of the published materials is ensured both through their review by external reviewers of the institution and by the editorial staff that includes professors for each area of interest. The journal published papers in the following main sections: Accounting; Finance, Money and Banking; Management, Marketing and Communication; Microeconomics and Macroeconomics; Statistics and Econometrics; The Society of Knowledge and Business Information Systems.
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