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The impact of the global economic and financial crisis on central, eastern and south-eastern Europe: A stock-taking exercise

机译:全球经济和金融危机对中欧,东欧和东南欧的影响:盘点活动

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摘要

The paper first reviews the main drivers of the growth and real convergence process in central, eastern and south-eastern Europe (CESEE) since 2000 and assesses the key macro-financial strengths and vulnerabilities of the region at the beginning of the global economic and financial crisis. The main part of the paper reviews financial and real economic developments in these countries since the crisis started to impact the CESEE region. The paper finds that developments have been rather heterogeneous in the region. CESEE countries with the largest economic imbalances tended to be most affected. National and international support measures appear to have helped to stabilise financial markets, and parent banks of foreign bank subsidiaries in CESEE were committed to sustaining their exposure to the region. The degree to which CESEE governments were able to use policy instruments to counter the real effects of the crisis is rather heterogeneous, depending inter alia on the exchange rate regime in place and the initial fiscal positions.
机译:本文首先回顾了自2000年以来中欧,东欧和东南欧(CESEE)增长和实际趋同过程的主要驱动力,并评估了在全球经济和金融开始之初该地区的主要宏观金融实力和脆弱性危机。本文的主要部分回顾了自危机开始影响CESEE地区以来这些国家的金融和实际经济发展。该论文发现,该地区的事态发展非常不同。经济失衡最大的CESEE国家往往受到的影响最大。国家和国际支持措施似乎有助于稳定金融市场,并且CESEE中外国银行子公司的母银行致力于维持其对该地区的敞口。 CESEE政府使用政策工具应对危机的实际影响的程度是多种多样的,这尤其取决于所采用的汇率制度和最初的财政状况。

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