Economic Structure and Macroeconomic Uncertainty: Policy Implications for Bangladesh

B. Gunter, Faisal Z. Ahmed, A. F. M. Ataur Rahman, Jesmin Rahman
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引用次数: 2

Abstract

This paper begins with examining Bangladesh’s economic structural transformation during 1980-2010, which is compared and contrasted with the transformation of India and Pakistan. It then calculates and compares the three countries’ macroeconomic volatility and uncertainty for the observation period (1980-2010), using unbiased volatility and uncertainty measures. It also reviews the evolution of Bangladesh’s macroeconomic uncertainty for each decade (i.e., the 1980s, 1990s and the 2000s). It shows, for example, that Bangladesh’s GDP volatility and uncertainty have been increasing over time. Reflecting on the fact that macroeconomic uncertainty has a negative impact on investment and growth, the paper derives various policy implications for Bangladesh, highlighting the importance of economic diversification, countercyclical monetary policy, smoothing external factors, and building up reserves and buffers.
经济结构和宏观经济不确定性:对孟加拉国的政策影响
本文首先考察了1980-2010年期间孟加拉国的经济结构转型,并与印度和巴基斯坦的转型进行了比较和对比。然后,使用无偏波动性和不确定性度量,计算和比较观察期(1980-2010)三个国家的宏观经济波动性和不确定性。它还回顾了孟加拉国每十年(即20世纪80年代、90年代和21世纪头十年)宏观经济不确定性的演变。例如,它表明,随着时间的推移,孟加拉国的GDP波动性和不确定性一直在增加。考虑到宏观经济的不确定性对投资和增长产生了负面影响,本文得出了对孟加拉国的各种政策影响,强调了经济多样化、逆周期货币政策、平滑外部因素以及建立储备和缓冲的重要性。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
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