Monetary Policy in Argentina from the Inflation of the 1970s to the Default of the New Millennium

Ferrandino Vittoria, Sgro Valentina
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Abstract

Since the end of World War II, Argentina has been through an uninterrupted series of financial/fiscal and monetary crises that have gradually eroded the credibility of the economic institutions of the country. In the period from 1970 to 1990 alone, the Argentine economy experienced seven currency crises and three banking crises. The main objective of this contribution is to investigate the reasons for economic policy choices that, since the military dictatorship of Colonel Perón, have led the country to default, causing unemployment, the run on banks, popular uprising.
从20世纪70年代的通货膨胀到新千年的违约,阿根廷的货币政策
自第二次世界大战结束以来,阿根廷经历了一系列不间断的金融/财政和货币危机,这些危机逐渐侵蚀了该国经济机构的信誉。仅在1970年至1990年期间,阿根廷经济就经历了七次货币危机和三次银行危机。这篇文章的主要目的是调查自Perón上校的军事独裁统治以来导致国家违约、失业、银行挤兑和民众起义的经济政策选择的原因。
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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