From crisis into crisis – the previous decade of Ukraine’s economy

Norbert Fejes
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引用次数: 1

Abstract

The Ukrainian economy has been highly cyclical over the past 15 years. Regardless of whether we consider a series of domestic/foreign political events (2013-2015), an external financial/economic shock (2008-2009), or a shock caused by a pandemic (2020-2021) as the trigger, the Ukrainian economy has been hit by a severe economic crisis every five years or so since 2008, which has impeded its from catching-up at the regional level. From Ukraine's perspective, the period that started with the global financial and economic crisis was marked not only by global recessions (2008-2009 and 2020-2021), affecting both the neighboring countries and the world economy as a whole, but also by a crisis of local origin (2014-2015) – involving an annexation/occupation of territory which is not recognized by international law and an armed conflict – which, by its very nature, exacerbated the country's devergence from international norms. Consequently, Ukraine – compared to neighboring countries – was in a completely different situation when the pandemic arrived, since its economy was characterized by a slow but stable growth and recovery phase which had followed a severe recession marked by armed struggles, rising Russian-Ukrainian tensions, internal political skirmishes, reform initiatives, Western integration efforts, lending and aid programs, and by laws restricting the rights of national minorities and all the diplomatic conflicts that went along with them. Against this background, an assessment of the success of the pandemic response cannot be complete without an analysis of the main economic indicators for the preceding period 2013-2019. Thus, this study examines the economic tendencies of the given period, while the regional comparison of the state of the Ukrainian economy will provide us important information about the effectiveness of recovery from the recession caused by the Eastern Ukrainian conlict, namely: the measure of catching-up or lagging behind compared to the neighboring countries.
从一个危机到另一个危机——乌克兰过去十年的经济
过去15年来,乌克兰经济一直处于高度周期性。无论我们是否将一系列国内/国外政治事件(2013-2015年)、外部金融/经济冲击(2008-2009年)或流行病造成的冲击(2020-2021年)视为触发因素,自2008年以来,乌克兰经济每五年左右就会遭受一次严重的经济危机的打击,这阻碍了其在区域一级的追赶。从乌克兰的角度来看,从全球金融和经济危机开始的时期不仅标志着全球经济衰退(2008-2009年和2020-2021年),影响到邻国和整个世界经济,而且还标志着当地起源的危机(2014-2015年)-涉及吞并/占领不被国际法承认的领土和武装冲突-这就其性质而言,加剧了该国与国际规范的背离。因此,与邻国相比,大流行病到来时,乌克兰的情况完全不同,因为其经济在经历了武装斗争、俄乌紧张局势加剧、内部政治冲突、改革举措、西方一体化努力、贷款和援助方案等严重衰退之后,处于缓慢但稳定的增长和复苏阶段。通过限制少数民族权利的法律以及随之而来的所有外交冲突。在此背景下,不分析2013-2019年期间的主要经济指标,就无法全面评估大流行应对工作的成功。因此,本研究考察了给定时期的经济趋势,而乌克兰经济状况的区域比较将为我们提供有关从乌克兰东部冲突引起的衰退中复苏的有效性的重要信息,即:与邻国相比,追赶或落后的措施。
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