资源丰富中的管理不善:1861-98年哥伦比亚的主权风险、私营部门信贷配给和经济停滞

IF 1.6 1区 历史学 Q3 ECONOMICS
Andrew Primmer
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引用次数: 0

摘要

本文考察了19世纪哥伦比亚国家政治、主权违约、信贷配给及其对财政收入和出口的影响之间的关系。通过定量和定性分析,它挑战了关于哥伦比亚缺乏持续的19世纪出口导向型发展的现有叙述,表明主权违约是一种具有长期负面影响的政治选择。这项研究强调了信贷配给和技术落后如何阻碍了经济增长。它认为,这些政策导致哥伦比亚经济停滞,导致出口作物生产的繁荣与萧条周期。它确定了自由主义时代的大幅增长和regeneración时期的最低增长。
本文章由计算机程序翻译,如有差异,请以英文原文为准。

Mismanagement amid resource abundance: Sovereign risk, private sector credit rationing, and economic stagnation in Colombia, 1861‒98

Mismanagement amid resource abundance: Sovereign risk, private sector credit rationing, and economic stagnation in Colombia, 1861‒98

This article examines the relationship between national politics, sovereign default, credit rationing, and their effects on fiscal revenues and exports in nineteenth-century Colombia. Using quantitative and qualitative analysis, it challenges existing narratives on Colombia's lack of sustained nineteenth-century export-led development, showing that sovereign default was a political choice with long-term negative impacts. The study highlights how credit rationing and technological backwardness hindered economic growth. It argues that these policies caused Colombia's economic stagnation, leading to boom-and-bust cycles in export crop production. It identifies substantial growth during the liberal era and minimal growth during the regeneración period.

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来源期刊
CiteScore
3.60
自引率
27.30%
发文量
84
期刊介绍: The Economic History Review is published quarterly and each volume contains over 800 pages. It is an invaluable source of information and is available free to members of the Economic History Society. Publishing reviews of books, periodicals and information technology, The Review will keep anyone interested in economic and social history abreast of current developments in the subject. It aims at broad coverage of themes of economic and social change, including the intellectual, political and cultural implications of these changes.
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