Economic Prospects and Policy Challenges for the GCC Countries

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引用次数: 7

Abstract

The COVID-19 pandemic is having far-reaching consequences for the global economy. Measures to contain the spread of the virus have led to sharp declines in economic activity across the globe, particularly in 2020Q2. The hardest hit sectors have been those requiring intensive human contact, such as tourism, transportation, services, and construction, while, in general, IT-intensive activities have fared better. The economic contraction is most significant in advanced economies. The GCC countries face a double impact from the coronavirus and lower oil prices. GCC authorities have implemented a range of appropriate measures to mitigate the economic damage, including fiscal packages, relaxation of monetary and macroprudential rules, and the injection of liquidity into the banking system, and there are recent signs of improvement. Low oil prices have caused a sharp deterioration of external and fiscal balances, and fiscal strains are evident in countries with higher debt levels.
海湾合作委员会国家的经济前景和政策挑战
2019冠状病毒病大流行正在对全球经济产生深远影响。遏制病毒传播的措施导致全球经济活动急剧下降,特别是在2020年第二季度。受影响最严重的行业是那些需要密集人际接触的行业,如旅游、交通、服务和建筑,而总体而言,it密集型行业的情况要好一些。经济收缩在发达经济体最为明显。海湾合作委员会国家面临冠状病毒和油价下跌的双重影响。海湾合作委员会当局已采取一系列适当措施减轻经济损失,包括财政一揽子计划、放松货币和宏观审慎规则以及向银行系统注入流动性,最近出现了改善的迹象。低油价导致外部和财政平衡急剧恶化,在债务水平较高的国家,财政紧张是显而易见的。
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