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Regional economic outlook navigating stormy waters. Europe :

Following a strong showing in early 2011, the economies across Europe now face the prospect of a pronounced slowdown, as global growth has softened, risk aversion has risen, and strains in Europe's sovereign debt and financial markets have deepened, according to this issue of the Regional Econo...

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Detalles Bibliográficos
Clasificación:Libro Electrónico
Autor Corporativo: International Monetary Fund
Formato: Electrónico eBook
Idioma:Inglés
Publicado: Washington, D.C. : International Monetary Fund, ©2011.
Colección:World economic and financial surveys.
Temas:
Acceso en línea:Texto completo
Tabla de Contenidos:
  • Cover; Contents; Erratum; Introduction and Overview; Tables; 1. European Countries: Real GDP Growth and CPI Inflation, 2009-12; 1. Advanced Europe: Reversing the Slide; Divergent Recoveries, but a Synchronized Slowdown?; Figures; 1.1. Selected Advanced European Countries: Sectoral Debt Levels, 2010; 1.2. Selected Advanced European Countries: Export Market Share, 2000 and 2010; 1.3. Selected Advanced European Countries: Real GDP, 2007:Q1-2011:Q2; 1.4. Euro Area: Contributions to GDP Growth, 2006:Q1-2011:Q2; 1.5. Euro Area Countries and United Kingdom: External Imbalances, 2009-11.
  • 1.6. Selected European Countries: Drivers of Public Debt Increase, 2007-111.7. Euro Area and Selected Countries: Monetary Policy Stance, 2009-11; 1.8. Euro Area and United Kingdom: Headline and Core Inflation, January 2006-July 2011; 1.9. Selected European Countries: Tangible Common Equity and Wholesale Funding Ratio, 2007-10; 1.10. Selected European Countries: Financial Sector Assets Relative to Size of Economy, 2010; 1.11. Selected European Countries and the United States: Unemployment Rate, January 2006-July 2011; Boxes; 1.1. Labor Reforms in the Euro Area: Still Too Little?
  • New Headwinds from an Escalating Euro Area Sovereign Crisis1.12. Euro Area: Mergers and Acquisitions by Nationality of Buyer, 2005-11; 1.13. Euro Area: Banking Sector Risk Index, 2007-11; 1.14. Selected European Countries: Key Short-Term Indicators, 2006-11; Policies to Stop the Slide; 1.15. Selected European Countries: Decomposition of 10-Year Government Bond Spreads vis-à-vis OIS Rate, 2009:Q3-2011:Q2; 1.16. Selected Advanced Countries: Claims on Domestic Banks and Public Sector, 2009:Q4 and 2011:Q1; 1.1. Advanced European Countries: Main Macroeconomic Indicators, 2009-12.
  • 1.17. Selected Advanced European Countries: Changes in General Government Fiscal Deficits, 2010-131.2. Monetary Policy and Bank Performance in Advanced Europe; 1.3. Macro-prudential Reforms in the EU: Objectives and Progress; 2. Emerging Europe: Reducing Vulnerabilities to Prevent Financial Turmoil; Developments in the First Half of 2011; 2.1. Emerging Europe: Contributions to GDP Growth; 2.2. Global Markets: Commodity Prices, January 2006-August 2011; 2.3. Emerging Europe: Real Private Sector Credit Growth, 2007-08 versus Latest; 2.4. Emerging Europe: Real GDP.
  • 2.5. Emerging Europe: Inflation, January 2008-July 20112.6. Emerging Europe: Industrial Production, January 2008-July 2011; Outlook for the Remainder of 2011 and 2012; 2.7. Emerging Europe: Consumer Confidence, January 2007-August 2011; 2.1. Emerging Europe: Growth of Real GDP, Domestic Demand, Exports, and Private Consumption, 2009-12; Risks to the Outlook; 2.8. Emerging Europe: Contributions to GDP Growth, 2011-12; 2.2. Emerging Europe: CPI Inflation, Current Account Balance, and External Debt, 2009-12; Key Policy Issues.