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Who has been affected, how and why? The spillover of the global financial crisis to Sub-Saharan Africa and ways to recovery

机译:谁受到影响,如何以及为何?全球金融危机蔓延到撒哈拉以南非洲以及恢复的方式

摘要

This paper first presents a comprehensive analysis of the significance of different transmission channels of the global economic and financial crisis to Sub-Saharan African countries. It then examines the repercussions of the crisis for the growth of gross domestic product (GDP) and its components; this is complemented by a study of the responses of monetary and fiscal authorities to the challenges posed by the crisis, both in regional terms and on the basis of selected country case studies. Finally, the paper highlights medium-term to long-term challenges for ensuring a sustainable recovery and for fostering resilience against potential future shocks.The authors find that the intensity of the impact of the crisis varies widely across countries, with a lack of export diversification apparently having been particularly conducive to its transmission. However, the analysis of the magnitude of the observed swings in macroeconomic variables also reveals that although they were large, they were not exceptional and are comparable to fl uctuations Sub-Saharan Africa has witnessed in the recent past. Furthermore, in a non-negligible number of instances the extent of the slowdown seems to have been determined by domestic factors as well. Particularly, policies and conditions prior to the global recession, rather than crisis contagion per se, appear decisively to have shaped the scope of possible responses in many cases.As a result, many of the policy lessons Sub- Saharan Africa might draw from the crisis do not involve radical deviation from the policies in place before. Efforts to improve the management of resource revenue for commodity-dependent countries, necessary reforms of the economic and business environment to enable a diversification of the export base, and further regional integration might help to alleviate possible future external shocks. Additionally, the crisis re-emphasises the need to back growth prospects by redefining sectoral priorities.
机译:本文首先全面分析了全球经济和金融危机对撒哈拉以南非洲国家的不同传播渠道的重要性。然后研究了危机对国内生产总值及其组成部分增长的影响;在区域和特定国家案例研究的基础上,对货币和财政当局对危机所带来挑战的反应的研究也为这一研究提供了补充。最后,本文强调了确保可持续复苏并增强对未来潜在冲击的抵御能力的中长期挑战。作者发现,危机影响的强度在各国之间差异很大,缺乏出口多元化显然特别有利于其传播。但是,对观察到的宏观经济变量波动幅度的分析也表明,尽管波动幅度较大,但并非例外,可与撒哈拉以南非洲近期目睹的波动相当。此外,在极少数情况下,经济放缓的程度似乎也由国内因素决定。尤其是,全球衰退之前的政策和条件,而不是危机蔓延本身,在许多情况下具有决定性的作用,决定了可能采取的应对措施的范围。结果,撒哈拉以南非洲可能从危机中汲取了许多政策教训。不涉及与之前政策的根本偏差。努力改善对依赖商品的国家的资源收入的管理,对经济和商业环境进行必要的改革以使出口基础多样化的努力以及进一步的区域一体化可能有助于减轻今后可能出现的外部冲击。此外,危机再次强调需要通过重新定义部门优先事项来支持增长前景。

著录项

  • 作者

    Chauvin Sophie; Geis Andrue9;

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  • 年度 2011
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  • 原文格式 PDF
  • 正文语种 eng
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