首页> 外文OA文献 >A macroeconometric model for Algeria. A medium term macroeconometric model for Algeria 1963-1984, a policy simulation approach to Algerian development problems.
【2h】

A macroeconometric model for Algeria. A medium term macroeconometric model for Algeria 1963-1984, a policy simulation approach to Algerian development problems.

机译:阿尔及利亚的宏观计量模型。阿尔及利亚1963-1984年中期宏观经济计量模型,是解决阿尔及利亚发展问题的政策模拟方法。

摘要

This thesis is concerned with the development and use of a macroeconometric model for the Algerian economy between 1963 and 1984. The model was built because of a systematic lack of applied econometric studies pertaining to Algeria at both the macroeconomic and microeconomic level. It is hoped that the model will fill a gap in this area and will contribute to the much neglected field of applied econometric research with regard to Algeria. This lack of applied econometric studies for Algeria meant that the modelling exercise described here has had to rely on an extensive specification search based on evidence relating to Algeria's economic structure and policy, economic theory, and the experience of Less Developed Countries in the area of macroeconomic model-building. The lack of data was a major constraint in this area and part of this study consisted of collecting and compiling a large database. After the country's independence in 1962, Algerian macroeconomic policy aimed to create a strong industrial system and to satisfy the population's basic needs. It relied on heavy industrialisation to modernise the economy, oil revenues to finance development, and central planning as the major tool of macroeconomic regulation. The accumulation rate was high and the growth record was generally good. However high unemployment and inflation, considerable disequilibrium, low productivity, a vulnerable balance of payments and unsustainable external debt are the major macroeconomic problems that policy-makers have had to face. The model's equations were first estimated using the OLS method and were subjected to stringent statistical tests. The degree of test significance and parameter correspondence to a priori views on the economy was good. when the model was constructed, it was estimated using a 2SLS principal component method. The OLD results were found to be reasonably feasible. The equations were collected into a system of 63 equations and solved using dynamic simulation technique. The model was solved successfully and its tracking of historical data was reasonably good. Further tests were carried out to study its dynamic features. Having constructed the model, it was then used extensively toudperform simulation analysis. The experiments ranged from thoseudconcerning the goverment's current expenditure to its monetaryudpolicy. In all, nine simulation exercises were carried out. Theseudwere revealing on the workings of the Algerian economy.udThe model was further used in scenario analysis. First the modeludwas used to develop an ex ante forecast employing a linear trendudmodel for the exogenous variables. The forecast database was used toudgenerate multipliers. The policy analysis was constructed to coincideudwith the implementation of the Second Five Year Plan (1985-1989). Theudfeasibility of the plan was examined by varying the price of oiludaccording to three hypotheses. The aim of this test was to develop audrealistic framework for applied macroeconomic analysis.
机译:本文涉及1963年至1984年之间阿尔及利亚经济的宏观经济计量模型的开发和使用。之所以建立该模型,是因为系统地缺乏在宏观经济和微观经济层面上与阿尔及利亚有关的应用计量经济学研究。希望该模型将填补这一领域的空白,并为在阿尔及利亚的应用计量经济学研究中被忽视的领域做出贡献。缺乏对阿尔及利亚的应用计量经济学研究,这意味着这里描述的建模工作不得不依赖于广泛的规范搜索,该搜索基于与阿尔及利亚的经济结构和政策,经济理论以及欠发达国家在宏观经济领域的经验有关的证据建筑模型。数据的缺乏是该领域的主要制约因素,本研究的一部分包括收集和编译大型数据库。 1962年阿尔及利亚独立后,阿尔及利亚的宏观经济政策旨在建立强大的工业体系并满足人口的基本需求。它依靠重工业化来实现经济现代化,石油收入为发展提供资金,中央计划作为宏观经济调控的主要工具。积累率高,增长记录总体良好。然而,高失业率和通货膨胀,相当大的失衡,低生产率,脆弱的国际收支和不可持续的外债是决策者必须面对的主要宏观经济问题。首先使用OLS方法估算模型的方程式,然后对其进行严格的统计检验。测试重要性和参数与经济先验观点的对应程度很好。在构建模型时,使用2SLS主成分法进行了估算。发现OLD结果是合理可行的。这些方程被收集到一个由63个方程组成的系统中,并使用动态仿真技术进行求解。该模型已成功解决,并且对历史数据的跟踪相当不错。进行了进一步测试以研究其动态特性。构建完模型后,随后将其广泛用于优于仿真分析。实验的范围从对政府当前支出的关注到其货币政策。总共进行了九次模拟练习。这些都揭示了阿尔及利亚经济的运作方式。该模型被进一步用于情景分析。首先,模型 ud用于对外部变量使用线性趋势 udmodel进行事前预测。预测数据库用于乘数估算。进行政策分析是为了与第二个五年计划(1985-1989年)的实施相吻合。通过根据三个假设改变石油价格来检验该计划的可行性。该测试的目的是为应用宏观经济分析建立一个超现实主义的框架。

著录项

  • 作者

    Laabas Belkacem;

  • 作者单位
  • 年度 1989
  • 总页数
  • 原文格式 PDF
  • 正文语种 en
  • 中图分类

相似文献

  • 外文文献
  • 中文文献
  • 专利

客服邮箱:kefu@zhangqiaokeyan.com

京公网安备:11010802029741号 ICP备案号:京ICP备15016152号-6 六维联合信息科技 (北京) 有限公司©版权所有
  • 客服微信

  • 服务号