Money demand during hyperinflation and stabilization: Bulgaria, 1991-2000

被引:14
|
作者
Slavova, S [1 ]
机构
[1] World Bank, London Sch Econ, Washington, DC 20433 USA
关键词
D O I
10.1080/003684032000095398
中图分类号
F [经济];
学科分类号
02 ;
摘要
The demand for money in Bulgaria is estimated over a ten-year period (1991-2000) of high inflation and inflation uncertainty. The paper distinguishes between three well-defined sub-periods: high, variable, but not systematically accelerating inflation from 1991 until April 1996; the near-hyperinflation period from May 1996 to February 1997; and the subsequent stabilization after the adoption of a currency board. The empirical analysis utilizes a standard methodology of cointegration and error correction. The functional determinants of the demand for money change during the different sub-periods. During the hyperinflation episode, Cagan's model is employed.
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页码:1303 / 1316
页数:14
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