CRISIS 2022–...: POTENTIAL SCOPE AND EXPECTED CONSEQUENCES

A. Lyakin
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引用次数: 1

Abstract

This article analyzes the features of the current crisis in Russian economy and estimates its impact on the upcoming institutional changes nature. The conclusion about the potential trajectory of the downturn is made based on the comparison of external shocks, stabilization policy measures and the reaction of economic agents during this and two previous crises. A shock of demand, caused by a sharp increase in the interest rates, triggers a rapid fall, the necessity of solving structural problems will take a long time. Changes of economic ties and transportation schemes, import substitution development in the industries important for ensuring the sovereignty of the national economy, will lead to a long period of economic recovery. An inflationary processes analysis has shown that the price increase acceleration, which is common for recessions in Russia, caused by external shocks and the exchange rate pass-through to trade prices, is being replaced by cost-push inflation, which requires an adequate change in the Bank of Russia policy. This article highlights the main problems in the field of employment during the current recession: the growth of structural unemployment and the need in the large-scale reorientation and requalification of workers. The fundamental changes in the institutional changes direction, due to the current crisis, are highlighted in this article. For the large backbone corporations state regulation will be strengthened to ensure the implementation of the structural planning goals, up to bringing a number of target indicators. Industrial policy is becoming the focal area of managing structural shifts. Debureaucratization in all spheres of economic and social life is pointed out as the most important requirement of the accelerated economy adaptation to new conditions especially for small and medium-size enterprises.
危机2022 -…:潜在的范围和预期的后果
本文分析了当前俄罗斯经济危机的特点,并估计了其对即将到来的制度变迁性质的影响。关于经济衰退的潜在轨迹的结论是基于外部冲击、稳定政策措施和经济主体在这次危机和前两次危机中的反应的比较得出的。利率急剧上升引起的需求冲击引发快速下跌,解决结构性问题的必要性将需要很长时间。经济关系和运输计划的改变,对确保国民经济主权至关重要的工业的进口替代发展,将导致长期的经济复苏。一项通货膨胀过程分析表明,由于外部冲击和汇率传递到贸易价格而导致的价格上涨加速,在俄罗斯经济衰退中很常见,现在正被成本推动型通货膨胀所取代,这需要俄罗斯央行对政策进行适当的调整。本文强调了当前经济衰退期间就业领域的主要问题:结构性失业的增长以及大规模重新定位和重新确定工人资格的必要性。由于当前的危机,制度变迁方向的根本变化是本文的重点。对于大型骨干企业,将加强国家监管,以确保结构性规划目标的实现,从而带来一系列目标指标。产业政策正成为管理结构性转变的重点领域。报告指出,经济和社会生活所有领域的非官僚化是加速经济适应新情况的最重要要求,特别是对中小型企业而言。
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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