Central Bank Policies of Fragile Five Countries in the Covid-19 Process

Sureyya Kovaci, Süleyman Şen
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Abstract

The Covid-19 pandemic has been a trouble and deeply affected the economic conditions of countries. Economy administrators and particularly central banks have been tested seriously in this period. In this period, one of the essential tasks of central banks is to provide the need of liquidity of markets. However, the main objective of Central Banks is price stability. Monetary policies should be applied sensitively by central banks, especially in crisis periods. While liquidity needs of markets taking place, central banks intervene and effort to support declining liquidity. This study examined central banks' monetary policies in the fragile five countries (Turkey, Brasil, India, Indonesia, and South Africa). We investigated these countries' central bank policies, including interest rate, inflation, central bank reserve, exchange rate, and fragile states index in the pandemic period. We determined that the most fragile country among the five countries is Turkey according to the fragile states index, inflation, interest rate, and central bank reserve in the pandemic period.
应对新冠肺炎进程中脆弱五国的央行政策
新冠肺炎疫情给各国经济带来了困扰和深刻影响。经济管理者,尤其是中央银行,在这段时期经受了严峻的考验。在这一时期,中央银行的基本任务之一就是满足市场对流动性的需求。然而,中央银行的主要目标是稳定价格。各国央行应谨慎实施货币政策,尤其是在危机时期。当市场出现流动性需求时,央行会进行干预,并努力支持不断下降的流动性。本研究考察了脆弱的五个国家(土耳其、巴西、印度、印度尼西亚和南非)央行的货币政策。我们调查了这些国家在大流行期间的央行政策,包括利率、通货膨胀、央行储备、汇率和脆弱国家指数。根据脆弱国家指数、通货膨胀率、利率和大流行期间的央行准备金,我们确定五个国家中最脆弱的国家是土耳其。
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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