南斯拉夫的恶性通货膨胀:货币史上的一个例子

Milica Stojković
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引用次数: 0

摘要

恶性通货膨胀通常发生在流通中的货币量增加而国内生产总值(GDP)却没有增长的时候。一个国家的货币当局(中央银行)过度印钞是恶性通货膨胀的根本原因。20世纪90年代初南斯拉夫联邦共和国的恶性通货膨胀是历史上最大的恶性通货膨胀之一。这是前南斯拉夫社会主义联邦共和国(南斯拉夫社会主义联邦共和国)的战争时期,随后国际社会对南斯拉夫社会主义联邦共和国实施制裁,因为它参加了在其他前南斯拉夫社会主义联邦共和国领土上的战争活动。从1992年开始,南斯拉夫第纳尔经历了一次恶性通货膨胀,总共持续了25个月。物价上涨得非常快,因此在1992年底和1993年爆发了恶性通货膨胀,达到了几乎难以想象的程度。1993年全年,物价上涨了百分之一百一十五万五千亿,1994年头三个星期上涨了百分之三十三亿。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
Hyperinflation in Yugoslavia: An Example in Monetary History
Hyperinflation most often occurs at a time when the amount of money in circulation is increasing without the Gross Domestic Product (GDP) showing growth. Excessive printing of money from the monetary authority (central bank) in a country is a fundamental reason for hyperinflation. The case of hyperinflation in the Federal Republic of Yugoslavia (FRY) in the early 1990s represents one of the largest hyperinflations in history. It was a time of wars in the former Socialist Federative Republic of Yugoslavia (SFRY) and it is followed by sanctions imposed on FRY by the international community, for participation in war activities in the territories of other former SFRY Republics. Starting from 1992, the Yugoslav dinar experienced a hyperinflation episode which lasted for a total of 25 months. Prices are rising very fast, so that in late 1992 and in 1993, hyperinflation erupted, taking on almost unimaginable proportions. In the whole of 1993 prices went up by 116.5 thousand billion percent, and in the first three weeks of 1994 by 313 million percent.
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