预测非欧元区欧盟国家的通货膨胀:波兰计量经济学分析

Runjia Gao
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引用次数: 0

摘要

波兰是东欧的一个新兴经济体,自 2004 年起成为欧盟成员国,但由于经济和政治原因,该国尚未加入欧元区,仍保持着自己的中央银行、独立的货币政策以及本币兹罗提。从历史上看,该国在共产主义时代结束后进行系统经济改革期间经历了高通胀,但之后成功地保持了低通胀率,直到 2022 年乌克兰战争爆发。本研究利用 Python 分析了波兰和欧元区的货币政策以及主要经济和地缘政治事件对波兰通货膨胀率的影响。研究发现,影响波兰通货膨胀率的唯一外在因素是波兰国内的货币政策和乌克兰战争。研究还对波兰未来 12 个月的通货膨胀率进行了预测,并在不确定因素中向全球企业提出了建议。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
Forecasting Inflation in a Non-Eurozone EU Country: An Econometric Analysis of Poland
Poland, an emerging economy in eastern Europe, became a member of the EU since 2004, however, due to economic and political reasons, the country is not yet in the Eurozone and still maintained its own central bank, independent monetary policies, as well as their local currency Zloty. Historically, the country has experienced high inflation during its systematic economic reformation after the end of its communist era, but it successfully maintained a low inflation rate afterwards until the start of the Ukrainian War in 2022. Through utilizing Python, this research analyzed the effect of both Poland’s and Eurozone’s monetary policy as well as key economic and geopolitical events on Poland’s inflation rate. The research discovered that the only exogeneous factors that influenced Poland’s inflation rate is its domestic monetary policy and the Ukrainian War. The research also made a 12-month ahead forecast on Poland’s inflation rate and made recommendations to global corporations amid the uncertainties.
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