Index of the Cycle of Money – the Case of Bulgaria

Constantinos Challoumis Κωνσταντίνος Χαλλουμής
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引用次数: 5

Abstract

This paper seeks to make clear how the concept of the cycle of money works in an actual case scenario like this of the economic system of Bulgaria. The index of the cycle of money suggests how an economic system ought to counteract a monetary crisis and examines how well-structured a country’s economy is. The estimations of the index of the cycle of money of Bulgaria are compared with the global average index of the cycle of money. The estimations reveal that Bulgaria is close to the average global value. Bulgaria’s results show that it is a well-structured economy and can face an economic crisis. The applied methodology stands on the analysis of the theory, mathematical, statistical, and econometrical results. The current work is important as it represents the strength of Bulgaria’s economy to a potential crisis. The results could be achieved by the application of the theory of the cycle of money to a country’s economy. Prior real case scenario conclusions are from Latvia.
货币周期指数——以保加利亚为例
本文试图弄清楚货币周期的概念是如何在保加利亚经济体系这样的实际情况下发挥作用的。货币周期指数表明一个经济体系应该如何应对货币危机,并检验一个国家的经济结构是否良好。将保加利亚货币周期指数的估计值与全球货币周期平均指数进行了比较。估计表明,保加利亚接近全球平均值。保加利亚的结果表明,它是一个结构良好的经济体,可以面对经济危机。应用方法建立在理论、数学、统计和计量结果分析的基础上。目前的工作很重要,因为它代表了保加利亚经济在潜在危机中的实力。通过将货币周期理论应用于一国经济,可以获得上述结果。以前的真实案例情景结论来自拉脱维亚。
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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