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Foreign trade as a factor in Poland's current economic crisis.

机译:对外贸易是波兰当前经济危机的一个因素。

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摘要

Poland's current rush towards capitalism is, in essence, a reaction to that country's untenable economic situation and its growing hard currency debt. This study examines three aspects of Polish foreign trade which contributed to that situation: the effects of terms of trade changes on Poland's ability to finance imports, Poland's failed export-led growth strategy, and the importance to Poland's economy of Soviet subsidization through permitted trade deficits. Each of these aspects is the subject of a separate essay.;In our second essay, "Poland's Export-Led Growth-A Failed Experiment," the fundamental incompatibility of export-led growth as a development strategy and Poland's centrally planned system is established. The methodology employed consists of identifying prerequisites for successfully implementing export-led growth, and then applying those prerequisites to the Polish foreign trade mechanism as it existed in the 1970-80 period.;In our third essay, "Soviet Economic Policy Towards Poland in the 1980s: When the Borrower Owns the Bank," we establish that a consistent pattern of increased Soviet economic aid to East European countries in crisis was first broken in the early 1980s when, under Brezhnev's leadership, subsidization levels to Poland actually declined as Martial Law was imposed. The potential ramifications of this policy switch are then assessed through two scenarios, which indicate that the elimination of Soviet aid would severely damage Poland's economy, threatening that country's internal stability.;The first essay, "Poland's Terms of Trade for the Period 1970-86," examines whether foreign trade price changes on the developed West and Comecon markets helped or hindered Poland's ability to service and/or repay its hard currency debt. Specifically, net, gross and income terms of trade are estimated, revealing that Poland generally benefited from terms of trade changes, and particularly so with the West. Consequently, Poland's hard currency debt crisis occurred despite, rather than as a result of, world market price changes.
机译:波兰目前对资本主义的热衷,实质上是对该国不稳定的经济状况及其不断增加的硬通货债务的反应。这项研究考察了导致这种情况的波兰对外贸易的三个方面:贸易条件变化对波兰融资进口能力的影响,波兰以出口为导向的增长战略的失败以及通过允许的贸易赤字对苏联进行补贴对波兰经济的重要性。这些方面的每一个都是单独的文章的主题。在我们的第二篇文章“波兰的出口主导型增长-失败的实验”中,建立了出口主导型增长作为发展战略与波兰中央计划体系的根本不相容性。所采用的方法包括确定成功实施以出口为导向的增长的先决条件,然后将这些先决条件应用于1970-80年代存在的波兰对外贸易机制。在我们的第三篇论文中,“苏联对波兰的经济政策” 1980年代:当借款国拥有银行时,“我们确定,在1980年代初,苏联打破了向危机中东欧国家增加经济援助的一贯模式,当时在勃列日涅夫的领导下,由于戒严令,对波兰的补贴水平实际上下降了施加。然后通过两种情况评估了这一政策转变的潜在后果,这表明取消苏联的援助将严重损害波兰的经济,威胁该国的内部稳定。;第一篇文章,《 1970-86年波兰的贸易条件》 ”,考察西方发达市场和Comecon市场上的外贸价格变化是否有助于或阻碍了波兰偿还和/或偿还其硬通货债务的能力。具体来说,估计了贸易的净,总和收入条件,这表明波兰总体上受益于贸易条件变化,尤其是西方国家。因此,尽管世界市场价格发生了变化,但并非由于其结果,波兰发生了硬通货债务危机。

著录项

  • 作者

    Leven, Bozena.;

  • 作者单位

    Cornell University.;

  • 授予单位 Cornell University.;
  • 学科 Economics General.
  • 学位 Ph.D.
  • 年度 1991
  • 页码 209 p.
  • 总页数 209
  • 原文格式 PDF
  • 正文语种 eng
  • 中图分类
  • 关键词

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