In 1998, the Russian Federation experienced one of the most severe emerging market crises of the 1997-2001 periods. It occurred less than six months after the attainment of single-digit inflation, which was supposed to launch the economy onto a sustainable growth path. This note sets out why that occurred and discusses the lessons learned.
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ПОДРОБНАЯ ИНФОРМАЦИЯ
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2010/10/01
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Краткие сведения
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57552
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1
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1
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2010/10/27
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Disclosed
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Russia 1998 revisited : lessons for financial globalization
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Poverty Reduction & Economic Management