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Titlebook: Imports and Growth in Highly Indebted Countries; An Empirical Study Jesko Hentschel Book 1992 Springer-Verlag Berlin · Heidelberg 1992 Debt

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發(fā)表于 2025-3-21 17:27:31 | 只看該作者 |倒序?yàn)g覽 |閱讀模式
書目名稱Imports and Growth in Highly Indebted Countries
副標(biāo)題An Empirical Study
編輯Jesko Hentschel
視頻videohttp://file.papertrans.cn/463/462718/462718.mp4
叢書名稱Studies in International Economics and Institutions
圖書封面Titlebook: Imports and Growth in Highly Indebted Countries; An Empirical Study Jesko Hentschel Book 1992 Springer-Verlag Berlin · Heidelberg 1992 Debt
描述A real imports of capital and intermediate goods declinedsharply for highlyindebted countries in the 1980s, theseeconomies were faced with the need tosubstitute previouslyimported factors of production with domestic capitalandlabor. The study empirically analyzes the degree of importdependence of twelve developing countries. Estimates oftheshort-run elasticity of substitution characterize bothimported capital and intermediate goods to behave likecomplements in the production process in the developingcountries. Long-run substitution elasticitesdifferconsiderably among the group of economies, especiallyforimported machinery and equipment. The results indicatethatinward-oriented strategies have not achieved the aim ofreducing the import dependence of the developing economies.In order to visualize theimplications of the differingdegree of import dependence, a partialequilibriumeconometric model is used to analyze the reaction ofthetrade account on external shocks and domestic policies inColumbiaand Ecuador. Simulations show that the dependenceon imported productionmeans can transform an "adjustmentwith growth" of the external account intoan "adjustment orgrowth" controversy.
出版日期Book 1992
關(guān)鍵詞Debt crisis; Schuldenkrise; Wirtschaftsentwicklung; econometrics; economic development; efficiency; equili
版次1
doihttps://doi.org/10.1007/978-3-642-46770-7
isbn_softcover978-3-642-46772-1
isbn_ebook978-3-642-46770-7Series ISSN 1431-6366
issn_series 1431-6366
copyrightSpringer-Verlag Berlin · Heidelberg 1992
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https://doi.org/10.1007/978-3-642-46770-7Debt crisis; Schuldenkrise; Wirtschaftsentwicklung; econometrics; economic development; efficiency; equili
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Introduction,s, in particular, found that they could no longer simply continue their previous policy of rolling over debt by financing amortization and interest payments on old debt with new loans from commercial banks. They had no option but to enter into rounds of rescheduling with both official and commercial creditors.
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Conclusion,clines in the 1980s, when balance of payments difficulties were encountered. As consumer goods had accounted for only a minor position in the total import bill, the potential cushion provided by them was too small to avoid a decline of imported intermediate and capital goods.
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