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ECONOMY OF THE EUROPEAN UNION: A DECADE AFTER THE CRISIS

机译:欧盟经济:危机后十年

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It is now a commonplace to hear people say the European Union is embroiled in an existential crisis and stays on the verge of collapse. But such an approach seem to be too simplistic and far from being true. Indeed, though EU has been characterized by conflicting trends it has a solid economic base. The article attempts to identify key forces driving shifts in the EU economic landscape. It explains the factors affecting economic growth in Europe and shows reasons behind changing trends in the decade following the 2007-2008 economic and financial crisis. Since 2013 the EU has experiences uninterrupted economic growth. In the second half of 2018, European economy came to a slowdown. The major factor behind it is growing uncertainty resulting from the possibility of a disruptive Brexit and lingering trade tensions, especially between China and the United States. As a result, the trade-intensive manufacturing sector weakened more than services, investment suffered more than consumption. Manufacturing decelerated and business investment and productivity lost pace. As to the future, much will depend on the ability of the EC institutions and national governments to make more effective use of its potential. The policy mix needs to be rebalanced. The room for monetary policy maneuver has narrowed considerably. A greater role for fiscal, structural and prudential policy would contribute more effectively to sustainable growth of the European economy.
机译:它现在是一个常见的人,听人们说欧洲联盟在存在的危机中挑起并保持崩溃的边缘。但这种方法似乎太简单,远非如此。实际上,尽管欧盟的特点是它具有稳固的经济基础。文章试图识别欧盟经济景观中的关键部队驾驶转变。它解释了影响欧洲经济增长的因素,并展示了2007 - 2008年经济和金融危机的十年变化趋势背后的原因。自2013年以来,欧盟经历不间断的经济增长。在2018年下半年,欧洲经济陷入了放缓。由于可能性的布雷克利特和挥之不去的贸易紧张局势,尤其是中国和美国之间的可能性,它的主要因素正在不确定性。因此,贸易密集型制造业的削弱不仅削弱了服务,投资遭受的遭受了更多的消费。制造减速和商业投资和生产力失去了速度。至于未来,大大取决于欧共体机构和国家政府更有效地利用其潜力的能力。政策组合需要重新平衡。货币政策机动的房间大大缩小了。对财政,结构和审慎政策的更大作用将更有效地促进欧洲经济的可持续增长。

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