Assessing the optimality of euro adoption in Romania through shock correlations

Q3 Social Sciences
A. Bodea
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引用次数: 0

Abstract

The present paper is concerned with the prospect of euro adoption in Romania. The study starts from the relevant literature of the Optimum Currency Areas and identifies the most widely acknowledged meta property and methodological model for this purpose: the SVAR Blanchard and Quah decomposition for identifying the supply and demand shocks. Employing the indicated model and the most recent data, we are able extract and analyse the underlying shocks that hit 34 European economic entities in the period 1995-2019, while also taking into account two crucial structural changes for the Romanian economy – central bank independence and EU accession. After performing the pairwise correlations between Romania and the rest of the economic entities for both the supply and demand disturbances, we map them on a bidimensional graph. We discover that while there is relevant integration and connectedness that ensures relatively high correlations between supply shocks, the politically-motivated monetary and fiscal policy disturbances that created ample and hectic demand side movements, are a factor of great concern for the prospect of single currency adoption in this Eastern European country. The findings support the view that there is room for the conduct of macro policies to become more supportive to the process of euro adoption and that the respect of convergence criteria would help in this respect. To our knowledge, this is the first study performing pairwise shock correlations between Romania and many other European economic entities, while also isolating the effect of post 2005 structural changes.
通过冲击相关性评估罗马尼亚采用欧元的最佳性
本文关注罗马尼亚采用欧元的前景。该研究从最优货币区的相关文献开始,并为此确定了最广泛认可的元属性和方法论模型:用于识别供需冲击的SVAR-Blanchard和Quah分解。利用所示模型和最新数据,我们能够提取和分析1995-2019年期间34个欧洲经济实体遭受的潜在冲击,同时也考虑到罗马尼亚经济的两个关键结构变化——央行独立和加入欧盟。在对供应和需求扰动进行罗马尼亚和其他经济实体之间的成对相关性后,我们将其绘制在二维图上。我们发现,尽管存在相关的一体化和连通性,确保了供应冲击之间相对较高的相关性,但出于政治动机的货币和财政政策动荡造成了充足而繁忙的需求侧流动,是这个东欧国家采用单一货币前景的一个非常令人担忧的因素。研究结果支持这样一种观点,即宏观政策的实施有空间变得更加支持采用欧元的进程,尊重趋同标准将在这方面有所帮助。据我们所知,这是第一项在罗马尼亚和许多其他欧洲经济实体之间进行成对冲击相关性的研究,同时也隔离了2005年后结构变化的影响。
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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来源期刊
European Journal of Government and Economics
European Journal of Government and Economics Social Sciences-Public Administration
CiteScore
0.90
自引率
0.00%
发文量
8
审稿时长
14 weeks
期刊介绍: The European Journal of Government and Economics (EJGE) is an international academic journal for peer reviewed research on all aspects of government and economics. EJGE is particularly interested in current issues regarding the interrelationship between the fields of government and economics, from the influence of government on the economy (economic policy) to economic explanations of government (public choice). It is also particularly interested in questions directly or indirectly related to Europe.
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