宏观经济的不确定性:测量和对西班牙经济的影响

M. Gil, Javier J. Pérez, A. Urtasun
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引用次数: 16

摘要

这篇文章描述了西班牙经济的不确定性。本文分析了各种指标,并区分了它们的来源:金融市场波动、经济形势的不同程度以及经济政策的不确定性。西班牙经济的总体不确定性在2016年有所增加,尽管仍低于2008-2013年经济衰退的平均水平。金融指标所反映的不确定性变化对经济活动,特别是对投资产生较大影响。最后,它说明了过去一年不确定性加剧的宏观经济影响的很大一部分是如何源自西班牙经济之外的。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
Macroeconomic Uncertainty: Measurement and Impact on the Spanish Economy
This article characterises the level of uncertainty in the Spanish economy. Various indicators are analysed, distinguishing their source: financial market volatility, degree of disagreement between agents on the economic situation and economic policy uncertainty. Aggregate uncertainty in the Spanish economy increased in 2016, although it remained at levels below the average for the 2008-2013 recession. The changes in uncertainty captured by financial indicators are shown to have a higher impact on economic activity, and particularly on investment. Finally, it is illustrated how a significant part of the macroeconomic effect of the heightened uncertainty in the past year originated outside the Spanish economy.
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