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Managing Economic Volatility and Crises

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  • Aizenman,Joshua
  • Pinto,Brian

Abstract

Economic volatility has come into its own after being treated for decades as a secondary phenomenon in the business cycle literature. This evolution has been driven by the recognition that non-linearities, long buried by the economist's penchant for linearity, magnify the negative effects of volatility on long-run growth and inequality, especially in poor countries. This collection organizes empirical and policy results for economists and development policy practitioners into four parts: basic features, including the impact of volatility on growth and poverty; commodity price volatility; the financial sector's dual role as an absorber and amplifier of shocks; and the management and prevention of macroeconomic crises. The latter section includes a cross-country study, case studies on Argentina and Russia, and lessons from the debt default episodes of the 1980s and 1990s.

Suggested Citation

  • Aizenman,Joshua & Pinto,Brian (ed.), 2006. "Managing Economic Volatility and Crises," Cambridge Books, Cambridge University Press, number 9780521855242, January.
  • Handle: RePEc:cup:cbooks:9780521855242
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    Cited by:

    1. EGBETUNDE, Tajudeen & ALLEY, Ibrahim, 2016. "Trade Openness And Economic Growth In Sub-Saharan Africa: A Dynamic Panel Data Analysis," Ilorin Journal of Business and Social Sciences, Faculty of Social Sciences, University of Ilorin, vol. 18(1), pages 153-169, October.

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