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India’s Increased International Integration and the Financial Crisis: Has India Become More Prone to External Shocks?

机译:印度日益加剧的国际一体化和金融危机:印度是否更容易受到外部冲击?

摘要

This paper looks at the impact of the global financial crisis on the Indian Economy via the three potential channels of contagion namely the trade channel, the financial channel and the confidence channel. We do so by analyzing the quarterly data of India’s Balance of Payments(BOP) for the time period 2007-2008 to 2009-2010. We come to the conclusion that India has become more prone to external shocks which is but natural with increased integration with the world economy and particularly financial integration. However the economy was already experiencing a downturn two quarters before the onset of the effects of the crisis on the Indian Economy and hence, at best, we can say that due to the crisis the downturn got accentuated for a few more quarters. The economy also seems to have recovered within a short period of time.
机译:本文通过贸易的三个潜在传播渠道,即贸易渠道,金融渠道和信心渠道,考察了全球金融危机对印度经济的影响。为此,我们分析了2007-2008年至2009-2010年印度国际收支(BOP)的季度数据。我们得出的结论是,印度与世界经济的一体化,尤其是金融一体化的日益增强,使它更容易受到外部冲击的影响。但是,在危机对印度经济的影响开始之前的两个季度中,经济已经经历了衰退,因此,充其量,我们可以说,由于这场危机,衰退又加剧了几个季度。经济似乎也已在短时间内恢复。

著录项

  • 作者

    Sircar Jyotirmoy;

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  • 年度 2010
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  • 原文格式 PDF
  • 正文语种 {"code":"en","name":"English","id":9}
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