构建用于债务可持续性分析的综合指标

Purnendu Kumar, Rahul Thekkedath, Nanu Ram Meena
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引用次数: 0

摘要

2008-09 年全球金融危机之后,财政赤字的规模和公共债务水平的可持续性仍然是所有新兴经济体宏观经济政策的关键问题。此外,COVID-19 大流行病对发达国家和发展中国家的财政可持续性构成了巨大挑战。尽管公共财政的可持续性已被讨论了一个多世纪,研究也提出了几种定义和评估债务可持续性的方法,但它仍然是一个不精确的概念。本研究通过构建一个综合指标,即债务可持续性指数,提出了一个新的公共债务可持续性分析框架。我们强调需要一个明确的概念框架来构建综合指数,并强调在汇总单个指标之前进行多元统计分析的有用性。建议的方法可用于分析印度邦政府(次国家)的债务可持续性。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
Construction of a Composite Indicator for Debt Sustainability Analysis
The size of fiscal deficits and sustainability of public debt levels remain a key macroeconomic policy problem in all emerging economies following the global financial crisis of 2008-09. In addition, the COVID-19 pandemic poses a considerable challenge to fiscal sustainability in developed and developing countries. Although the sustainability of public finances has been discussed for more than a century and studies have proposed several methods to define and assess debt sustainability, it remains an imprecise concept. This study proposes a new framework for public debt sustainability analysis by constructing a composite indicator, that is, a debt sustainability index. We emphasise the need for an explicit conceptual framework for constructing a composite index and usefulness of multivariate statistical analysis prior to the aggregation of individual indicators. The proposed approach can be used to analyse the debt sustainability of state governments (sub-nationals) in India.
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