The economy’s resilience to shocks at the macro- and meso-levels: Typology and conditions

IF 0.1 Q4 MULTIDISCIPLINARY SCIENCES
S. Zhironkin, E. Taran, O.G. Aleshina
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引用次数: 0

Abstract

A study of the economy’s resilience to external shocks has an important methodological aspect, which is primarily associated with significant interregional differences in the structure of reproduction, GDP, employment, innovation, budget revenues, exports and imports outside the region and country. On the other hand, the meso-level specificity of sustainability is also manifested in the trends of macro- and meso-economic dynamics, which directly determines the depth of the non-cyclical recession as a result of shocks and the pace of post-shock recovery. In the context of the increasing impact of external shocks on the Russian economy, the search for ways to increase its stability, the definition of the principles of analysis and the conditions for achieving it are of particular relevance. Considering the multi-structural and diversified nature of the Russian economy, its territorial extent, it would be methodologically correct to analyze the resilience to shocks at the macro- and meso-levels. The key aim of analyzing the economy’s resilience to shocks is to determine its typology and conditions for achieving it in the long term. An important aspect of studying the economy’s resilience to shocks is the analysis of the relationship between their impact and the phases of economic cycles and phase transitions. In this article, the authors aim to consider the problem of increasing the stability of the Russian economy based on international experience and the presented typology of shocks, starting from the structural conditions of post-shock development in the new economic reality. The functional sustainability of the economy is presented as the achievement of the high productivity and competitiveness of domestic production, connected in multi-link production chains with high added value, operating in conditions of low inflation and availability of resources. The authors show that existing approaches consider shocks in micro-, meso- and macro-economic aspects. They hypothesize that achieving the economy’s sustainability to shocks in all their multidimensionality is possible when implementing conditions associated with the initiation of positive structural changes in it. Such conditions are: a high share of high-tech services and export-oriented industries in the structure of the economy, a mismatch between the cyclical phase of its decline and the impact of a shock, moderate pre-shock growth rates, a developed scientific and educational system and a high level of workers’ education in a region, a low differentiation of the population’s income. The authors conclude that shocks have a complex impact on the economy (exogenous shocks can provoke endogenous ones, and vice versa) and a dual effect, which consists in the ability to strengthen resilience to shocks through the growth of public investment in R&D in the absence of foreign investment, the acceleration of innovative modernization of the industry, and the formation of new social groups on this basis.
经济在宏观和中观层面的抗冲击能力:类型和条件
对经济抵御外部冲击能力的研究有一个重要的方法方面,这主要与再生产、国内生产总值、就业、创新、预算收入、区域和国家以外的出口和进口结构的重大区域间差异有关。另一方面,可持续性的中观特异性也表现在宏观和中观经济动态的趋势上,这直接决定了冲击导致的非周期性衰退的深度和冲击后复苏的速度。在外部冲击对俄罗斯经济的影响越来越大的情况下,寻找增加其稳定性的方法、确定分析原则和实现这种稳定性的条件是特别重要的。考虑到俄罗斯经济的多结构和多样化性质及其领土范围,在宏观和中观层面分析其抗冲击能力在方法上是正确的。分析经济抵御冲击的能力的主要目的是确定其类型和长期实现这种能力的条件。研究经济抗冲击能力的一个重要方面是分析冲击的影响与经济周期阶段和经济转型阶段之间的关系。在本文中,作者旨在根据国际经验和目前的冲击类型,从新的经济现实中冲击后发展的结构性条件出发,考虑提高俄罗斯经济稳定性的问题。经济的功能可持续性表现为实现国内生产的高生产率和竞争力,在具有高附加值的多环节生产链中连接,在低通货膨胀和资源可用性的条件下运行。作者表明,现有的方法考虑了微观、中观和宏观经济方面的冲击。他们假设,当实施与经济中积极的结构性变化启动相关的条件时,实现经济对所有多维冲击的可持续性是可能的。这些条件是:高科技服务和出口导向型产业在经济结构中所占比例高,经济衰退的周期性阶段与冲击的影响不匹配,冲击前的适度增长率,一个地区的科学和教育体系发达,工人受教育水平高,人口收入分化程度低。作者认为,冲击对经济的影响是复杂的(外生冲击可以引发内生冲击,反之亦然),并具有双重效应,即在缺乏外国投资的情况下,通过增加公共研发投资、加速产业创新现代化以及在此基础上形成新的社会群体来增强抵御冲击的能力。
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来源期刊
Tomsk State University Journal
Tomsk State University Journal MULTIDISCIPLINARY SCIENCES-
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