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Bibliographic Details
Main Authors: Agénor, Pierre-Richard 1957- (Author), Montiel, Peter 1951- (Author)
Format: Book
Language:English
Published: Princeton, NJ [u.a.] Princeton Univ. Press 1999
Edition:2. ed.
Subjects:
Entwicklungstheorie / Makroökonomik / Außenwirtschaftstheorie / Theorie / Entwicklungsländer
USA
Entwicklungsökonomie
Entwicklungstheorie
Mathematisches Modell
Makroökonomie
Entwicklungspolitik
Wirtschaftsentwicklung
Wirtschaftspolitik
Entwicklungsländer
Links:http://bvbr.bib-bvb.de:8991/F?func=service&doc_library=BVB01&local_base=BVB01&doc_number=009129765&sequence=000002&line_number=0001&func_code=DB_RECORDS&service_type=MEDIA
Item Description:Literaturverz. S. 781 - 825
Physical Description:XIX, 871 S. graph. Darst.
ISBN:0691006776
Staff View

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Record in the Search Index

DE-BY-UBR_call_number 426/QC 340 A265(2)
DE-BY-UBR_katkey 3422715
DE-BY-UBR_location UB Handapparat Recht/Wirtschaft Prof. Cassar
DE-BY-UBR_media_number TEMP11825975
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adam_text DEVELOPMENT MACROECONOMICS Pierre-Richard Agenor and Peter J Montiel SECOND EDITION PRINCETON UNIVERSITY PRESS PRINCETON, NEW JERSEY Contents Preface to the Second Edition xvii Introduction and Overview 3 1 Overview of the Book 4 2 Some Methodological Issues 10 1 Scope of Development Macroeconomics 13 1 Monetarism, Structuralism, and Developing Nations 15 2 Economic Structure and Macroeconomics 18 2 1 Openness to Trade in Commodities and Assets 19 2 2 Exchange Rate Management 25 2 3 Domestic Financial Markets 26 2 4 The Government Budget 28 2 5 Aggregate Supply and the Labor Market 32 2 6 Stability of Policy Regimes 36 2 7 Macroeconomic Volatility 3 1 3 Some Special Topics 38 PART I: MACROECONOMIC RELATIONSHIPS AND MARKET STRUCTURE 43 2 Aggregate Accounts, Production, and Market Structure 45 1 A General Accounting Framework 46 1 1 The Nonfinancial Private Sector 46 1 2 The Public Sector 48 121 The Nonfinancial Public Sector 48 122 The Central Bank 48 123 The Consolidated Public Sector 49 1 3 The Commercial Banking System 50 1 4 Aggregate Relationships 51 2 Production Structure in an Open Economy 52 2 1 The Mundell-Fleming Model 52 2 2 The Dependent Economy Model 56 23A Model with Three Goods 60 3 The Structure of Labor Markets 63 3 1 Functioning of Labor Markets 64 3 2 Output and Unemployment 65 3 3 Indexation and Wage Rigidity 66 3 4 Labor Market Segmentation 71 VI CONTENTS 4 Informal Financial Markets 76 4 1 Informal Loan Markets 76 4 2 Parallel Markets for Foreign Exchange 78 3 Behavioral Functions 86 1 Consumption and Saving 86 1 1 Consumption Smoothing 90 1 2 Length of Planning Horizon and Liquidity Constraints 92 1 3 Effects of Interest Rate Changes on Savings 93 1 4 Public and Private Consumption 95 2 Private Investment 95 2 1 Specification Issues 96 2 2 Determinants of Private Investment: The Evidence 99 3 The Demand for Money 102 3 1 Conventional Money Demand Models 103 3 2 Currency Substitution and the Demand for Money 105 321 Domestic- and Foreign-Currency Deposits 106 322 Currency Substitution: The Evidence 109 4 Aggregate Supply Functions 111 4 1 Cross-Regime Tests 113 4 2 Within-Regime Tests 114 4 3 An Assessment of the Evidence 111 Appendix: Uncertainty, Irreversibility, and Investment: A Simple Example 120 PART D: SHORT-RUN MACROECONOMIC POLICIES 123 4 Sources of Macroeconomic Fluctuations 125 1 The Data 126 2 Detrending Techniques 128 2 1 The Hodrick-Prescott Filter 129 2 2 The Band-Pass Filter 130 2 3 The Nonparametric Method 130 3 Assessing Macroeconomic Fluctuations 131 4 Summary of the Findings 133 5 Fiscal Deficits, Public Solvency, and the Macroeconomy 136 1 The Government Budget Constraint 137 1 1 The Consolidated Budget Constraint 137 1 2 The Measurement of Fiscal Deficits 141 1 3 Seigniorage and Inflationary Finance 143 CONTENTS Vli 131 The Optimal Inflation Tax 146 132 Collection Lags and the Olivera-Tanzi Effect 148 133 Collection Costs and Tax System Efficiency 153 2 Policy Consistency and the Solvency Constraint 154 2 1 The Intertemporal Solvency Constraint 155 2 2 Financing Constraints and Policy Consistency 158 3 Macroeconomic Effects of Fiscal Deficits 159 3 1 Ricardian Equivalence 160 3 2 Deficits, Inflation, and the Tight Money Paradox 161 321 The Analytical Framework 165 322 Constant Primary Deficit 167 323 Constant Conventional Deficit 169 3 3 Deficits, Real Interest Rates, and Crowding Out 173 331 Expectations, Deficits, and Real Interest Rates 174 332 Deficits, Investment, and Crowding Out 181 3 4 Deficits, the Current Account, and the Real Exchange Rate 182 Appendix: Fiscal Effects of Privatization 186 6 Financial Markets, Capital Mobility, and Monetary Policy 189 / Financial Repression: Macroeconomic Effects 190 2 Financial Repression, the Inflation Tax, and Capital Controls 192 2 1 Financial Repression and Inflationary Finance 192 22A General Public-Finance Approach 196 3 Capital Mobility: Empirical Evidence 198 3 1 The Magnitude of Gross Flows 199 3 2 Tests of Interest Parity Conditions 200 3 3 Tests of Monetary Autonomy 204 3 4 Saving-Investment Correlations 205 5 5 Summary 206 4 Models of Informal Credit and Foreign Exchange Markets 207 4 1 Models of Informal Credit Markets 207 411 Stagflationary Effects of Monetary Policy 207 412 Interest Rate Policy and Output 208 4 2 Models of Informal Currency Markets 214 421 Illegal Trade and Parallel Markets 214 422 Portfolio and Currency Substitution Models 217 5 Monetary Policy with Informal Financial Markets 221 5 7 The Analytical Framework 222 5 2 Changes in Monetary Policy Instruments 226 viii CONTENTS 521 Credit Expansion 227 522 Changes in the Administered Interest Rate 228 523 Change in the Required Reserve Ratio 229 524 Intervention in the Parallel Foreign Exchange Market 229 6 A Simulation Model with Informal Financial Markets 230 6 1 Structure of the Model 230 611 Aggregate Supply 231 612 Aggregate Demand and Disposable Income 233 613 Asset Accumulation and Financial Wealth 234 614 The Current Account and the Balance of Payments 235 615 The Banking System 236 616 Fiscal Deficits and Domestic Credit 237 617 Calibration of the Model 238 6 2 Effects of Stabilization Policies 238 621 Government Spending on Home Goods 239 622 Central Bank Credit to Commercial Banks 240 623 Increase in Lending Rates 241 624 Devaluation of the Official Exchange Rate 242 ~~ 7 Exchange-Rate Regimes: Evidence and Credibility Aspects 246 1 Evidence on Exchange-Rate Regimes 246 2 Credibility and Exchange-Rate Management 251 2 1 Time Inconsistency and Exchange-Rate Policy 253 2 2 Credibility of a Fixed Exchange Rate 258 2 3 Reputation, Signaling, and Exchange-Rate Commitment 259 2 4 Credibility Effects of Monetary Unions 262 3 Exchange Rate Bands 266 3 1 Rationale for Exchange Rate Bands 266 3 2 Bands and Monetary Policy Credibility 268 3 3 Experience with Exchange Rate Bands 269 331 Central Parity T1Q 332 Band Width 276 333 Intramarginal Intervention 278 3 4 Lessons from Experience 278 Appendix: Krugman s Target Zone Model 282 •^ 8 Exchange-Rate Management: Contractionary Devaluation and Real-Exchange-Rate Rules 286 1 Contractionary Devaluation 287 1 1 Effects on Aggregate Demand 287 CONTENTS IX 111 Consumption 288 112 Investment 298 113 Nominal Interest Rates 301 1 2 Effects on Aggregate Supply 304 121 Effects on the Nominal Wage 305 722 Imported Inputs 308 72J Effects Through Costs of Working Capital 310 1 3 Empirical Evidence 312 737 Before-After Approach 312 732 Control Group Approach 313 133 Econometric Models 315 134 Macro-Simulation Studies 317 2 Real-Exchange-Rate Targeting 320 2 7 The Analytical Framework 321 2 2 Targeting the Real Exchange Rate 323 2 3 Effects of Macroeconomic Shocks 325 9 Stabilization and the Labor Market 329 7 The Model 330 7 7 The Formal Economy 332 7 2 The Informal Sector 334 7 3 Consumption and Wealth • 335 7 4 Market for Informal Sector Goods 336 7 5 The Informal Labor Market 336 7 6 Government 337 2 Dynamic Structure 337 3 77ie Steady State 339 4 Government Spending Cut 342 PART m: STABILIZATION: THEORY, EVIDENCE, AND EMPIRICAL MODELS 347 10 An Overview of Stabilization Programs 349 7 Populism 351 7 7 Chile under Allende (1970-1973) 352 7 2 Peru under Garcia (1986-1990) 354 2 Orthodox Money-Based Stabilization 355 2 7 Chile (September 1973) 356 2 2 Bolivia (August 29, 1985) * 358 3 Exchange-Rate-Based (Southern Cone) Stabilization Programs 361 3 7 Chile (February 1978) 362 3 2 Uruguay (October 1978) 364 XCONTENTS 33 Argentina (December 1978) 366 4 Heterodox Programs 368 4 1 Argentina (June 14, 1985) 369 4 2 Israel (July 1, 1985) 373 4 3 Brazil (February 28, 1986) 379 4 4 Mexico (December 1987) 382 5 Argentina s Convertibility Plan (1991-1997) 385 6 Brazil s Real Plan (1994-1997) 390 7 Lessons of Stabilization 395 11 Inflation and Short-Run Dynamics 397 7 Models of the Inflationary Process 397 7 7 Inflation, Money, and Fiscal Deficits 398 777 Adaptive Expectations 400 772 Perfect Foresight 402 7 2 Food Supply, Distribution, and the Wage-Price Cycle 405 73A Structuralist-Monetarist Model 411 2 Dynamics of Monetary and Exchange-Rate Rules 414 27A One-Good Framework 414 277 Households 415 272 Government and the Central Bank 418 273 Money Market Equilibrium 419 274 Dynamic Form 419 275 Devaluation Rule 421 276 Credit Growth Rule 425 277 Dynamics with Alternative Fiscal Policy Rules 427 22A Three-Good Model with Flexible Prices 428 227 Households 429 222 Output and the Labor Market 431 223 Central Bank and the Government 432 224 Market-Clearing Conditions 432 225 Dynamic Form 432 226 Policy Shocks 436 2 3 Extensions 442 237 Imported Intermediate Inputs 442 232 Sticky Prices 443 Appendix: The Three-Good Model 447 12 Analytical Issues in Disinflation Programs 450 7 Topics in Exchange-Rate-Based Programs 450 7 7 The Boom-Recession Cycle 453 777 Expectations, Real Interest Rates, and Output 453 772 The Temporariness Hypothesis 457 CONTENTS 3d 773 An Assessment 466 7 2 The Behavior of Real Interest Rates 473 727 Credibility, Nominal Anchors, and Interest Rates 474 722 Expectations, Fiscal Adjustment, and Interest Rates 475 7 3 Disinflation and Real Wages All 2 The Role of Credibility in Disinflation Programs 487 2 7 Sources of Credibility Problems 488 277 Internal Inconsistency 488 272 Time Inconsistency 489 273 Asymmetric Information 491 274 Policy Uncertainty and Stochastic Shocks 491 275 Political Uncertainty 491 2 2 Enhancing the Credibility of Disinflation Programs 493 227 Signaling and Sustainability 494 222 Price Controls 496 223 Central Bank Independence 503 224 External Enforcement and Foreign Assistance 505 225 Sequencing and Political Support 507 2 3 Policy Lessons 509 3 Disinflation and Nominal Anchors 512 Appendix: Output Effects of Price Controls 517 13 Empirical Models of Stabilization 521 7 Bank-Fund Models 523 7 7 The IMF Financial Programming Model 523 7 2 The World Bank RMSM Model 525 73A Simple Bank-Fund Model 527 2 Three-Gap Models 527 3 Macroeconometric Models 531 3 7 Structure of Production 532 3 2 Aggregate Supply 533 3 3 Aggregate Demand 535 4 Computable General Equilibrium Models 537 Appendix: The Khan-Knight Monetary Disequilibrium Model 541 PART IV: EXTERNAL DEBT, CAPITAL FLOWS, AND CURRENCY CRISES 545 14 The Debt Crisis of the 1980s 547 1 Origins of the Debt Crisis 548 7 7 Public Sector Solvency 550 XU CONTENTS 72 Application to the Debt Crisis 551 2 Policy Response and Macroeconomic Implications 556 3 Resolution of the Crisis: The Brady Plan 558 3 7 Outline of the Plan 558 3 2 Macroeconomic Effects: Conceptual Issues 559 3 3 An Overview of Some Early Brady Plan Deals 567 Appendix: Incentive Effects of a Debt Overhang 572 15 Capital Inflows: Macroeconomic Effects and Policy Responses 575 7 Capital Inflows in the Early 1990s 576 7 7 The Domestic and External Context 576 7 2 Characteristics of the New Inflows 577 727 Magnitude 577 722 Timing 579 723 Regional and Country Destination 579 124 Asset Composition 580 725 Sectoral Destination 582 2 Factors Driving Capital Inflows 582 2 7 Pull Factors, Push Factors, and Changes in Financial Integration 582 277 Pull Factors 584 222 Push Factors 585 273 Financial Integration 585 2 2 The Empirical Evidence 586 2 3 An Assessment 591 3 Policy Responses: Issues and Evidence 591 3 7 Policy Options 591 377 Restrictions on Gross Inflows 593 372 Encouragement of Gross Outflows 594 373 Trade Liberalization 595 314 Exchange-Rate Flexibility 596 375 Sterilization 597 376 Policies to Influence the Money Multiplier 598 377 Fiscal Contraction 599 4 Variations in Policy Responses 599 4 1 Measures to Impede Gross Inflows 600 4 2 Encouragement for Gross Outflows 601 4 3 Measures to Reduce Reserve Accumulation 602 431 Commercial Policy 602 432 Exchange-Rate Policy 602 4 4 Measures to Restrict Base Money Growth 603 4 5 Reduction in the Money Multiplier 604 CONTENTS Xtii 4 6 Restrictive Fiscal Policy 604 5 Macroeconomic Outcomes 605 6 Policy Lessons 607 Appendix: Reduction in the World Risk-Free Interest Rate in the Three-Good Model 612 16 Speculative Attacks and Exchange-Rate Crises 616 1 The Conventional Approach 617 7 7 The Basic Model 617 7 2 Extensions to the Basic Framework 623 727 Sterilization 623 722 Alternative Post-Collapse Regimes 624 723 Real Effects of an Anticipated Collapse 626 724 Borrowing, Controls, and the Postponement of a Crisis 628 2 Optimizing Policymakers and Self-Fulfilling Crises 631 2 7 The Output-Inflation Tradeoff Gil 2 2 Public Debt and Self-Fulfilling Crises 635 2 3 Credibility, Reputation, and Currency Crises 637 3 A Cross-Generation Framework 641 4 Evidence on Exchange-Rate Crises 641 4 7 The 1980s 642 4 2 The 1994 Crisis of the Mexican Peso 644 427 Background: Structural Reform and the Solidarity Pact 644 422 Policy Responses to Capital Inflows, 1989-1993 646 423 The Balance-of-Payments Crisis 648 4 3 Thailand s Currency Crisis 654 437 Background 654 432 Triggering Events 656 433 Emergence and Management of the Crisis 658 PART V: GROWTH, STRUCTURAL REFORMS, AND POLITICAL ECONOMY 667 17 Macroeconomic Policies and Long-Term Growth 669 7 The Neoclassical Growth Model 671 2 Externalities and Increasing Returns 678 3 Human Capital, Knowledge, and Growth 680 3 7 The Production of Human Capital 680 3 2 The Production of Knowledge 681 4 Effects on Financial Intermediation 687 4 7 Effects on the Saving Rate 688 XIV CONTENTS 42 Effects on the Allocation of Capital 689 4 3 The Conduit Effect, Financial Repression, and Growth 690 4 4 Financial Development and Growth: Empirical Evidence 691 5 Inflation Stabilization and Growth 692 6 Government Size and Growth 697 7 Commercial Openness and Growth 698 5 Exchange-Rate Unification and Growth 701 18 Trade, Financial, and Exchange Market Reforms 705 7 Trade Reforms: Some Recent Evidence 706 2 Trade Liberalization, Wage Rigidity, and Employment 709 2 7 The Analytical Framework 710 277 Fixed Nominal Wages 112 212 Flexible Wages 713 3 Monetary and Financial Liberalization 714 3 7 Monetary Reform 715 3 2 Financial Liberalization 719 4 Unification of Foreign Exchange Markets 721 4 7 Short-Run Dynamics of Unification 722 477 The Pre-Reform Dual Rate Regime 722 472 The Post-Reform Flexible Rate Regime 724 473 Dynamics in Anticipation of Reform 726 4 2 Longer-Run Effects of Unification 730 4 3 Evidence on Unification Attempts 732 19 The Political Economy of Stabilization and Adjustment 737 7 Politics, Economic Policy, and Adjustment 738 7 7 The Political Economy of Structural Adjustment 738 7 2 Political Instability, Inflation, and Budget Deficits 740 2 Political Stabilization Cycles 741 2 7 Opportunistic Models 742 277 Elections, Inflation, and Unemployment 742 272 Elections and Devaluation Cycles 745 2 2 Models With Informational Asymmetries 750 3 Elections-Induced Economic Cycles: The Evidence 752 3 7 Informal Evidence 752 3 2 Econometric Evidence 754 327 General Cycles and Government Expenditure 755 322 Determinants of Domestic Credit to the Government 757 323 Elections and the Composition of Public Expenditure 758 CONTENTS XV 20 Sequencing and Speed of Reforms 761 7 Sequencing of Reforms 761 7 7 Macroeconomic Stabilization, Financial Reform, and the Opening of the Capital Account 762 7 2 Capital and Current Account Liberalization 764 7 3 Macroeconomic Stabilization and Trade Reform 767 2 Uncertainty and Gradualism 770 3 Adjustment Costs, Credibility, and the Speed of Reform 774 Epilogue 777 References 781 Index of Names 821 Index of Subjects 835
any_adam_object 1
author Agénor, Pierre-Richard 1957-
Montiel, Peter 1951-
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geographic Entwicklungsländer (DE-588)4014954-7 gnd
geographic_facet Entwicklungsländer
id DE-604.BV013384280
illustrated Illustrated
indexdate 2024-12-20T10:46:18Z
institution BVB
isbn 0691006776
language English
oai_aleph_id oai:aleph.bib-bvb.de:BVB01-009129765
oclc_num 246184004
open_access_boolean
owner DE-703
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physical XIX, 871 S. graph. Darst.
publishDate 1999
publishDateSearch 1999
publishDateSort 1999
publisher Princeton Univ. Press
record_format marc
spellingShingle Agénor, Pierre-Richard 1957-
Montiel, Peter 1951-
Development macroeconomics
Entwicklungstheorie / Makroökonomik / Außenwirtschaftstheorie / Theorie / Entwicklungsländer
USA
Entwicklungsökonomie (DE-588)4213090-6 gnd
Entwicklungstheorie (DE-588)4121207-1 gnd
Mathematisches Modell (DE-588)4114528-8 gnd
Makroökonomie (DE-588)4037174-8 gnd
Entwicklungspolitik (DE-588)4014957-2 gnd
Wirtschaftsentwicklung (DE-588)4066438-7 gnd
Wirtschaftspolitik (DE-588)4066493-4 gnd
subject_GND (DE-588)4213090-6
(DE-588)4121207-1
(DE-588)4114528-8
(DE-588)4037174-8
(DE-588)4014957-2
(DE-588)4066438-7
(DE-588)4066493-4
(DE-588)4014954-7
title Development macroeconomics
title_auth Development macroeconomics
title_exact_search Development macroeconomics
title_full Development macroeconomics Pierre-Richard Agénor and Peter J. Montiel
title_fullStr Development macroeconomics Pierre-Richard Agénor and Peter J. Montiel
title_full_unstemmed Development macroeconomics Pierre-Richard Agénor and Peter J. Montiel
title_short Development macroeconomics
title_sort development macroeconomics
topic Entwicklungstheorie / Makroökonomik / Außenwirtschaftstheorie / Theorie / Entwicklungsländer
USA
Entwicklungsökonomie (DE-588)4213090-6 gnd
Entwicklungstheorie (DE-588)4121207-1 gnd
Mathematisches Modell (DE-588)4114528-8 gnd
Makroökonomie (DE-588)4037174-8 gnd
Entwicklungspolitik (DE-588)4014957-2 gnd
Wirtschaftsentwicklung (DE-588)4066438-7 gnd
Wirtschaftspolitik (DE-588)4066493-4 gnd
topic_facet Entwicklungstheorie / Makroökonomik / Außenwirtschaftstheorie / Theorie / Entwicklungsländer
USA
Entwicklungsökonomie
Entwicklungstheorie
Mathematisches Modell
Makroökonomie
Entwicklungspolitik
Wirtschaftsentwicklung
Wirtschaftspolitik
Entwicklungsländer
url http://bvbr.bib-bvb.de:8991/F?func=service&doc_library=BVB01&local_base=BVB01&doc_number=009129765&sequence=000002&line_number=0001&func_code=DB_RECORDS&service_type=MEDIA
work_keys_str_mv AT agenorpierrerichard developmentmacroeconomics
AT montielpeter developmentmacroeconomics
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