The Indian Inflation 2006–2016: An Econometric Investigation

Paramita Mukherjee, D. Coondoo
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引用次数: 1

Abstract

Recently several changes have been adopted in the conduct of monetary policy in India, like tracking CPI (Consumer Price Index), targeting inflation and so on. However, certain curious features of inflation may have some implications on the effectiveness of such measures. This article tries to explore the nature of inflation during the last decade. There are certain views about the nature of Indian inflation from the structuralist perspective. This article contributes to the literature by empirically testing those propositions and coming out with some significant policy implications. The article is based on monthly data from January 2006 to March 2016. By employing econometric techniques like cointegration and vector autoregression (VAR), the article tries to explain the movements of different components of WPI (Wholesale Price Index) and CPI inflation, both core and headline inflation and how they are related to macroeconomic policy variables. The empirical analyses focus on finding out the existence of co-movements among the inflation and macroeconomic variables, explaining the role of components like food and fuel price in driving CPI and WPI. The results have some important policy implications. First, the movements of WPI and CPI and their headline and core counterparts are not explained by same set of variables. Second, food inflation is not explained by agricultural output pointing to the insufficient increase in supply in agriculture. Third, the determinants of CPI headline and core inflation are not same. So, both of them should be tracked while formulating policies. The relationship among the components of inflation point to the possibility of some adjustment in demand from one set of goods to another, implying adjustments in terms of relative prices which needs further exploration. JEL: E31, E52, C32
2006-2016年印度通货膨胀:计量经济学调查
最近,印度的货币政策采取了一些变化,如跟踪CPI(消费者价格指数),目标通货膨胀等。然而,通货膨胀的某些奇怪特征可能会对这些措施的有效性产生一些影响。本文试图探讨过去十年通货膨胀的本质。从结构主义的角度对印度通货膨胀的本质有一定的看法。本文通过实证检验这些命题,并提出了一些重要的政策启示,为文献做出了贡献。本文基于2006年1月至2016年3月的月度数据。通过采用协整和向量自回归(VAR)等计量经济学技术,本文试图解释WPI(批发价格指数)和CPI通胀的不同组成部分的运动,包括核心和总体通胀,以及它们与宏观经济政策变量的关系。实证分析的重点是发现通货膨胀与宏观经济变量之间存在协同运动,解释食品和燃料价格等成分对CPI和WPI的驱动作用。研究结果具有一些重要的政策含义。首先,WPI和CPI的变动,以及它们的标题和核心对应的变动,不能用同一组变量来解释。其次,粮食通胀不能用农业产出来解释,这表明农业供应增长不足。第三,总体CPI和核心CPI的决定因素并不相同。因此,在制定政策时,这两者都应该被跟踪。通货膨胀各组成部分之间的关系表明,从一组商品到另一组商品的需求可能出现某种调整,这意味着相对价格方面的调整需要进一步探讨。Jel: e31, e52, c32
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来源期刊
South Asia Economic Journal
South Asia Economic Journal Economics, Econometrics and Finance-Economics, Econometrics and Finance (all)
CiteScore
1.10
自引率
0.00%
发文量
8
期刊介绍: The South Asian nations have progressively liberalized their economies in recent years in an effort to integrate with the world economy. They have also taken steps to enhance multilateral and regional economic integration. Even though the South Asian economies have grown at an average rate of more than 5 per cent over the last few years, roughly 40 per cent of their people still live below the poverty line. Hence, the South Asian region continues to face many challenges of economic and social development. The South Asia Economic Journal (SAEJ) is designed as a forum for informed debate on these issues, which are of vital importance to the people of the region who comprise one-sixth of the world’s population. The peer-reviewed journal is devoted to economic analysis and policy options aimed at promoting cooperation among the countries comprising South Asia. It also discusses South Asia’s position on global economic issues, its relations with other regional groupings and its response to global developments. We also welcome contributions to inter-disciplinary analysis on South Asia. As a refereed journal, SAEJ carries articles by scholars, economic commentators,policy-makers and officials, from both the private and public sectors. Our aim is to create a vibrant research space to explore the multidimensional economic issues of concern to scholars working on South Asia. Among the issues debated in relation to South Asia are: - the implications of global economic trends; - the issues and challenges by WTO; - approaches to industrialization and development; - the role of regional institutions such as the SAARC; - the relationship between SAARC and other regional economic groupings such as ASEAN; - the implications of economic liberalization for trade and investment in the region; - new initiatives that can be launched to enhance economic cooperation among the South Asian countries both on a bilateral and a regional basis.
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