经济对冲击的脆弱性和复原力--尝试衡量

Q3 Arts and Humanities
Łukasz Topolewski, M. Moszyński, Yanrong Guo
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引用次数: 0

摘要

摘要 特别是在危机时期,经济学家试图解释为什么一些经济体比其他经济体遭受更严重的负面影响。为了解释这些不同的影响,可以使用经济脆弱性和经济恢复力这两个经济类别。因此,本文旨在对经济脆弱性和抵御冲击能力这两个相互关联的类别进行批判性思考。本文从理论角度分析了这两个类别,并确定了形成每个类别的因素。然后,论文尝试使用两个合成变量来衡量选定欧洲国家的经济脆弱性和复原力。在此基础上,对各国的经济脆弱性和复原力进行了分类。所取得的成果为更详细地研究各个国家的危机路径及其后果提供了一个良好的起点。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
Economic Vulnerability and Resilience to Shocks – An Attempt to Measure
Abstract Especially in periods of crises, economists try to explain why some economies suffer negative consequences more strongly than others. In order to explain these differential effects, two economic categories known as economic vulnerability and economic resilience can be used. Hence, the aim of the paper is to undertake a critical reflection on the interrelated categories of economic vulnerability and resilience to shocks. The paper analyses these categories from a theoretical perspective and identifies the factors that shape each of them. It then attempts to measure the economic vulnerability and resilience of selected European countries using two synthetic variables. Based on these, a classification of countries in terms of economic vulnerability and resilience was made. The results achieved provide a good starting point for a more detailed study of the paths of crises and their consequences in individual countries.
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来源期刊
Studies in Logic, Grammar and Rhetoric
Studies in Logic, Grammar and Rhetoric Arts and Humanities-Philosophy
CiteScore
0.40
自引率
0.00%
发文量
3
审稿时长
6 weeks
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