Finanse publiczne Rumunii w trakcie i po kryzysie gospodarczym 2008-2009

Stelian Dan Câmpean
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Abstract

The aim of this article is to present Romania’s problems and solutions during and after the economic crisis of 2008-2009. The paper starts with the definitions of public finances and economic crisis and also a brief description of Romania’s economy, continuing with a deeper analysis of the determinants and symptoms of the recession in the country, as well as the perspectives for further development. The financial assessment of Romania’s situation in the broader EU context can be understood by looking at the GDP and the country’s economic activities in relation to it, and by reviewing the information supplied by the National Bank of Romania and others institutions and selected literature. The article is complemented by author’s opinions.
本文的目的是介绍罗马尼亚在2008-2009年经济危机期间和之后的问题和解决方案。本文首先对公共财政和经济危机进行了定义,并对罗马尼亚经济进行了简要描述,接着深入分析了该国经济衰退的决定因素和症状,以及进一步发展的前景。在更广泛的欧盟背景下,对罗马尼亚情况的财务评估可以通过查看国内生产总值和与之相关的国家经济活动,以及通过审查罗马尼亚国家银行和其他机构提供的信息和选定的文献来理解。这篇文章附有作者的观点。
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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