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Economic Analysis: Theory and Practice
 

Vulnerability of macroeconomic models to economic cycles: the comparative analysis

Vol. 9, Iss. 23, AUGUST 2010

Available online: 9 August 2010

Subject Heading: Theory and methodology of economic analysis

JEL Classification: 

Kouzmin D.V. candidate of economic sciences, professor of theory and practice of interaction between business and authorities, the State University - Higher school of Economics
KouzmineDV@rspp.ru

In article the analysis of key factors of accumulation of risks in the national financial systems defining vulnerability of last to financial crises is carried out influence of size of economy, type of its currency system and the monetary policy, degree of dependence on the global finance is considered. The comparative analysis of preconditions of crisis in Mexico 1994, Argentina 2002, and also crisis of liquidity of 2008 in the USA, the countries Central and the Eastern Europe, Iceland and China is carried out. By results of the analysis distinctions in crisis vulnerability of various macroeconomic models are estimated.

Keywords: macroeconomic model, financial crisis, risks, quality of bank balances

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ISSN 2311-8725 (Online)
ISSN 2073-039X (Print)

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