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Macroeconomic dataset for generating macroeconomic volatility among selected countries in the Asia Pacific region

机译:宏观经济数据集用于在亚太地区某些国家之间产生宏观经济波动

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摘要

This data article provides macroeconomic data that can be used to generate macroeconomic volatility. The data cover a sample of seven selected countries in the Asia Pacific region for the period 2004–2014, including both developing and developed countries. This dataset was generated to enhance our understanding of the sources of macroeconomic volatility affecting the countries in this region. Although the Asia Pacific region continues to remain as the most dynamic part of the world's economy, it is not spared from various sources of macroeconomic volatility through the decades. The reported data cover 15 types of macroeconomic data series, representing three broad categories of indicators that can be used to proxy macroeconomic volatility. They are indicators that account for macroeconomic volatility (i.e. volatility as a macroeconomic outcome), domestic sources of macroeconomic volatility and external sources of macroeconomic volatility. In particular, the selected countries are Malaysia, Thailand, Indonesia and Philippines, which are regarded as developing countries, while Singapore, Japan and Australia are developed countries. Despite the differences in level of economic development, these countries were affected by similar sources of macroeconomic volatility such as the Asian Financial Crisis and the Global Financial Crisis. These countries were also affected by other similar external turbulence arising from factors such as the global economic slowdown, geopolitical risks in the Middle East and volatile commodity prices. Nonetheless, there were also sources of macroeconomic volatility which were peculiar to certain countries only. These were generally domestic sources of volatility such as political instability (for Thailand, Indonesia and Philippines), natural disasters and anomalous weather conditions (for Thailand, Indonesia, Philippines, Japan and Australia) and over-dependence on the electronic sector (for Singapore).
机译:本数据文章提供了可用于产生宏观经济波动性的宏观经济数据。数据涵盖了2004-2014年期间亚太地区七个选定国家的样本,包括发展中国家和发达国家。生成该数据集是为了增强我们对影响该地区国家的宏观经济动荡来源的理解。尽管亚太地区仍然继续是世界经济中最具活力的部分,但几十年来,它仍未能摆脱各种宏观经济动荡的根源。报告的数据涵盖了15种类型的宏观经济数据系列,代表了三大类指标,可用来替代宏观经济的波动性。它们是说明宏观经济波动性(即作为宏观经济成果的波动性),国内宏观经济波动性来源和外部宏观经济波动性来源的指标。特别是,选定的国家是被视为发展中国家的马来西亚,泰国,印度尼西亚和菲律宾,而新加坡,日本和澳大利亚是发达国家。尽管经济发展水平存在差异,但这些国家还是受到类似的宏观经济动荡来源的影响,例如亚洲金融危机和全球金融危机。这些国家还受到其他类似外部动荡的影响,这些动荡是由全球经济放缓,中东的地缘政治风险以及商品价格波动等因素引起的。但是,还有一些宏观经济动荡的来源,仅某些国家特有。这些通常是国内动荡的根源,例如政治动荡(对于泰国,印度尼西亚和菲律宾),自然灾害和异常天气状况(对于泰国,印度尼西亚,菲律宾,日本和澳大利亚)以及对电子部门的过度依赖(对于新加坡) 。

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