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For dozens of developing countries, the financial upheavals of the 1980s have set back economic development by a decade or more. Poverty in those countries has intensified as they struggle under the burden of an enormous external debt. In 1988, more than six years after the onset of the crisis, almost all the debtor countries were still unable to borrow in the international capital markets on normal terms. Moreover, the world financial system has been disrupted by the prospect of widespread defaults on those debts. Because of the urgency of the present crisis, and because similar crises have recurred intermittently for at least 175 years, it is important to understand the fundamental features of the international macroeconomy and global financial markets that have contributed to this repeated instability.
This project on developing country debt, undertaken by the National Bureau of Economic Research, provides a detailed analysis of the ongoing developing country debt crisis. The project focuses on the middle-income developing countries, particularly those in Latin America and East Asia, although many lessons of the study should apply as well to other, poorer debtor countries. The project analyzes the crisis from two perspectives, that of the international financial system as a whole (volume 1) and that of individual debtor countries (volumes 2 and 3).
This third volume contains lengthy and detailed case studies of four very different Asian countries—Turkey, Indonesia, Korea, and the Philippines.
This project on developing country debt, undertaken by the National Bureau of Economic Research, provides a detailed analysis of the ongoing developing country debt crisis. The project focuses on the middle-income developing countries, particularly those in Latin America and East Asia, although many lessons of the study should apply as well to other, poorer debtor countries. The project analyzes the crisis from two perspectives, that of the international financial system as a whole (volume 1) and that of individual debtor countries (volumes 2 and 3).
This third volume contains lengthy and detailed case studies of four very different Asian countries—Turkey, Indonesia, Korea, and the Philippines.
About the Author
Jeffrey D. Sachs is the Galen L. Stone Professor of International Trade at Harvard University and a research associate of the National Bureau of Economic Research. He is the coauthor, with Michael Bruno, of Economics of Worldwide Stagflation.
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Front Cover | Front Flap | Table of Contents | First Pages | Index | Back Flap | Back Cover | Surprise Me!
Inside This Book
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First Sentence:
For the developing countries, the 1970s were a time of growing external indebtedness but strong real growth. Read the first page Key Phrases - Statistically Improbable Phrases (SIPs): (learn more)
public disposable income, nonoil export industries, yrs grace, nonmonetary debt, decontrol period, nonoil export sector, monetary purge, rapid debt accumulation, nonoil goods, monopoly import licenses, foreign currency deposit units, foreign exchange deposit accounts, public fixed investment, nonoil imports, nonoil exports, external credit market, yrs maturity, other debtor countries, foreign loan guarantees, coconut levy, nominal wage gains, foreign purchasing power, statutory ratio, deposit substitutes, noninterest current account Key Phrases - Capitalized Phrases (CAPs): (learn more)
World Bank, United States, Bank Indonesia, Big Push, Korea Development Institute, Latin American, Ministry of Finance, Middle East, New York, Base Run, East Asian, Outer Islands, South Korea, Korean War, Morgan Guaranty, Hong Kong, International Financial Statistics, Dresdner Bank, Asian Development Bank, President Aquino, World War, Bank of Korea, Quarterly Macroeconomic, Dewey Dee, Eduardo Cojuangco New!
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Front Cover | Front Flap | Table of Contents | First Pages | Index | Back Flap | Back Cover | Surprise Me!
For the developing countries, the 1970s were a time of growing external indebtedness but strong real growth. Read the first page Key Phrases - Statistically Improbable Phrases (SIPs): (learn more)
public disposable income, nonoil export industries, yrs grace, nonmonetary debt, decontrol period, nonoil export sector, monetary purge, rapid debt accumulation, nonoil goods, monopoly import licenses, foreign currency deposit units, foreign exchange deposit accounts, public fixed investment, nonoil imports, nonoil exports, external credit market, yrs maturity, other debtor countries, foreign loan guarantees, coconut levy, nominal wage gains, foreign purchasing power, statutory ratio, deposit substitutes, noninterest current account Key Phrases - Capitalized Phrases (CAPs): (learn more)
World Bank, United States, Bank Indonesia, Big Push, Korea Development Institute, Latin American, Ministry of Finance, Middle East, New York, Base Run, East Asian, Outer Islands, South Korea, Korean War, Morgan Guaranty, Hong Kong, International Financial Statistics, Dresdner Bank, Asian Development Bank, President Aquino, World War, Bank of Korea, Quarterly Macroeconomic, Dewey Dee, Eduardo Cojuangco New!
Books on Related Topics | Concordance | Text Stats Browse Sample Pages:
Front Cover | Front Flap | Table of Contents | First Pages | Index | Back Flap | Back Cover | Surprise Me!
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