Study on the effect of crises on economic correlations and macrostability

Constantin Anghelache, M. Anghel, Ș. Iacob, Dana Luiza Grigorescu
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Abstract

Abstract Economic growth is a goal of every country and equally of the European Community. In this sense, all national strategies related and not subordinated to the European Union’s strategy aim at economic growth, which will ensure the improvement of the quality of life. Economic growth is always achieved by the level registered by the Gross Domestic Product (Gross Domestic Product per capita) these being the most important indicators of results calculated at macroeconomic level. The proper functioning of a country’s economy must be based, first of all, on certain correlations that are established between socio-economic variables, a context in which there must be certain proportions. The evolution of the economy in free market conditions reaches imbalances at certain times, a context in which macroeconomic stability is affected. Most often, crises, regardless of their health, economic, economic or financial nature, have the first effect of affecting macroeconomic stability. In the current conditions, when we face the health crisis, combined with the economic and financial crisis, the macroeconomic imbalance is obvious by not respecting some proportions and correlations, which must be established at the macroeconomic level. The analysis of this aspect of crises and their effect on economic correlations and macrostability is the subject of the study in this article.
危机对经济相关性和宏观稳定性的影响研究
经济增长是每个国家的目标,也是欧共体的目标。从这个意义上说,所有与欧洲联盟的战略有关而不隶属于欧洲联盟的战略的国家战略都旨在经济增长,这将确保提高生活质量。经济增长总是通过国内生产总值(人均国内生产总值)所记录的水平来实现的,这些是在宏观经济层面计算结果的最重要指标。一个国家经济的适当运作首先必须建立在社会经济变量之间建立的某种相互关系的基础上,在这种情况下必须有一定的比例。经济在自由市场条件下的演变在某些时候达到不平衡,在这种情况下宏观经济稳定受到影响。大多数情况下,危机,无论其健康、经济、经济或金融性质如何,其首要影响是影响宏观经济稳定。在目前的情况下,当我们面临卫生危机,加上经济和金融危机时,宏观经济的不平衡是显而易见的,因为不尊重某些必须在宏观经济层面建立的比例和相关性。分析危机的这一方面及其对经济相关性和宏观稳定性的影响是本文研究的主题。
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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