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Financial crises and the multilateral response: What the historical record shows

机译:金融危机和多边应对:历史记录表明

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摘要

We provide a synoptic description of financial crises and the multilateral response over the course of the last four decades. We present both indicators of economic performance around crisis dates and a comprehensive description of multilateral rescue efforts. While emergency lending has grown, reliance on debt restructuring, broadly speaking, has declined. This leads us to ask what can be done to rebalance the management of debt problems toward a better mix of emergency lending and private sector burden sharing. In particular, we explore the idea of sovereign cocos, contingent debt securities that automatically reduce payment obligations in the event of debt-sustainability problems.
机译:我们对过去四个十年中的金融危机和多边应对措施进行了概述。我们提供了危机日期前后的经济表现指标以及对多边救援工作的全面描述。虽然紧急贷款有所增长,但从广义上讲,对债务重组的依赖有所下降。这导致我们问如何做才能使债务问题的管理重新平衡,以更好地混合紧急贷款和私营部门负担。特别是,我们探索主权可可的概念,或有债务证券,在出现债务可持续性问题时会自动减少付款义务。

著录项

  • 来源
    《Journal of International Economics》 |2012年第2期|422-435|共14页
  • 作者单位

    European Department, International Monetary Fund, 700 19th Street, NW Washington DC 20431, United States;

    Department of Economics, University of California, Berkeley. 549 Evans Hall 3880, Berkeley, CA 94720-3880, United States,NBER, United States;

    Research Department, International Monetary Fund, 700 19th Street, NW Washington DC 20431, United States;

  • 收录信息
  • 原文格式 PDF
  • 正文语种 eng
  • 中图分类
  • 关键词

    financial crises; IMF programs; multilateral response;

    机译:金融危机;基金组织的计划;多边反应;

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