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Building resilience to international financial crises: lessons from Brazil

机译:增强抵御国际金融危机的能力:巴西的经验教训

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摘要

Purpose – This paper sets out to argue that, due to a stable set of economic policies over the past decade, today Brazil is much more resilient to international financial crises than in the 1990s. Design/methodology/approach – The paper presents preliminary macroeconomic data in a country case study. Findings – The paper concludes that the initial impact of the current international financial crisis on Brazil has been much less severe than similar crisis episodes in the past. Research limitations/implications – Given that the crisis is still unfolding, the paper presents only preliminary data regarding its impact on emerging markets. Practical implications – The paper suggests that emerging markets should adopt flexible exchange rate regimes and stable macroeconomic policies as a means to reduce their exposure to international shocks. Originality/value – The paper makes an initial diagnosis regarding the impact of the international financial crisis on emerging markets that have adopted sensible economic policies, and is of interest to scholars, business people, and policymakers in developed and emerging countries.
机译:目的–本文旨在论证说,由于过去十年中一套稳定的经济政策,与1990年代相比,今天的巴西对国际金融危机的抵御能力要强得多。设计/方法/方法–本文在一个国家案例研究中介绍了初步的宏观经济数据。调查结果–该论文得出的结论是,当前的国际金融危机对巴西的最初影响要比过去类似的危机事件严重得多。研究的局限性/意义-鉴于危机仍在继续,本文仅提供有关其对新兴市场影响的初步数据。实际意义–该文件建议新兴市场应采取灵活的汇率制度和稳定的宏观经济政策,以减少它们受到国际冲击的可能性。原创性/价值–本文对国际金融危机对采用明智经济政策的新兴市场的影响做出了初步诊断,并引起了发达国家和新兴国家的学者,商人以及决策者的关注。

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