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The Subprime Crisis and Its Influence on Public, Private and Financial Sectors in European Countries
Journal of East-West Business Pub Date : 2020-10-12 , DOI: 10.1080/10669868.2020.1830913
Catarina Soares 1 , Adelaide Figueiredo 2 , Fernanda Figueiredo 1, 3
Affiliation  

Abstract

The subprime crisis was a global financial crisis that affected a large number of countries and, in particular, the European economies. In this paper we considered fourteen variables associated to the public, private and financial sectors, in order to analyze the main vulnerabilities, differences and similarities observed in twenty-seven European countries. The statistical analysis was performed with the STATIS methodology, with data collected in the period 2002–2011, including some years before and some after the historical crisis of 2007–2008. The study led us to conclude that European countries are different in which concerns to investment, savings, sustainability of public accounts and public investment.



中文翻译:

次贷危机及其对欧洲国家公共,私人和金融部门的影响

摘要

次贷危机是一场全球金融危机,影响了许多国家,尤其是欧洲经济。在本文中,我们考虑了与公共,私营和金融部门相关的14个变量,以分析在27个欧洲国家中观察到的主要漏洞,差异和相似性。使用STATIS方法进行统计分析,收集的数据为2002-2011年期间,包括2007-2008年历史危机发生之前和之后的几年。该研究使我们得出结论,欧洲国家在投资,储蓄,公共账户的可持续性和公共投资的关注方面有所不同。

更新日期:2020-10-12
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