Nigeria Confronts Post-Crisis Global Economic Realities

Ayo Teriba
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Abstract

Nigeria has long been trying to learn how best to manage boom-bust cycles in global commodity prices, adopting an oil-price benchmark for annual budgets while saving revenues above the benchmark in an excess crude account in the half decade before the 2008/2009 global crisis. The crisis and its aftermath now dictate that the country needs additional lessons on how best to manage surge-shortage cycles in global liquidity. Managing frequent external trade shocks is now only a part of the story, managing frequent external financial shocks, particularly with the intricate interactions between the two, is the other part.
尼日利亚面对危机后的全球经济现实
长期以来,尼日利亚一直在努力学习如何最好地管理全球大宗商品价格的盛落周期,在2008/2009年全球危机爆发前的5年里,尼日利亚在年度预算中采用油价基准,同时在超额原油账户中节省高于基准的收入。这场危机及其后果现在表明,该国需要在如何最好地管理全球流动性激增-短缺周期方面吸取更多教训。管理频繁的外部贸易冲击现在只是一个方面,管理频繁的外部金融冲击,特别是两者之间错综复杂的相互作用,是另一个方面。
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