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The theoretical and empirical fragilities of the expansionary austerity theory

机译:膨胀紧缩理论的理论和经验上的脆弱性

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Criticism to expansionary austerity theory has extensively addressed the methodological problems affecting the econometric techniques that underpin it; however, few efforts have formally analyzed its theoretical strictures. In this article, the authors develop a more general and comprehensive critique, both from a theoretical and from an empirical perspective. They first present a short-run model that formally describes the theoretical background of specific policy measures advocated by expansionary austerity supporters. They show how these measures might only have expansionary outcomes under extreme and unrealistic conditions. The authors then move to the data and provide an econometric analysis of the key variables that leave the results of our theoretical model undetermined; their findings reinforce the validity of our theoretical critique. Since 2007, when an important opportunity to test expansionary austerity presented itself with the recession, the core mechanisms of expansionary austerity theory seem to not have been working, to say the least. In fact, austerity measures delivered perverse results precisely in the countries where they were expected to be most effective.
机译:对膨胀紧缩理论的批评已经广泛地解决了影响其基础的计量经济学技术的方法论问题。但是,很少有正式的形式对其理论进行分析。在本文中,作者从理论和实证的角度提出了更为一般和全面的评论。他们首先提出了一个短期模型,正式描述了由紧缩支持者提倡的特定政策措施的理论背景。它们显示了这些措施仅在极端和不现实的条件下才可能产生扩张性结果。然后,作者转向数据并提供对关键变量的计量经济学分析,这些不确定变量使我们的理论模型的结果不确定。他们的发现加强了我们理论批评的有效性。自2007年以来,当测试扩张性紧缩政策的一个重要机会出现衰退时,至少可以这样说,扩张性紧缩理论的核心机制似乎并未发挥作用。实际上,紧缩措施恰恰在预期最有效的国家中产生了错误的结果。

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