论文标题
金融风险对欧盟15的经济增长的影响
The impact of financial risks on economic growth in EU-15
论文作者
论文摘要
本文考虑了欧盟前15个成员国的财务风险对经济增长的影响,考虑到1995 - 2014年期间,旨在制定一种新的经济增长解释模型,主要基于上述金融中断的行为反应。通过小组估计的广义最小二乘法估计该模型,并包括其他控制变量,以加强进行的研究。我们的目标是检查欧盟的财务风险以及估计其对经济增长的影响。
This paper examines the impact of financial risks on economic growth in the first 15 Member States of the European Union, considering 1995-2014 period and aims to lay down a new explanatory model of economic growth, based mainly on the behavioral reactivity of the financial disruptions mentioned above. The model was estimated through the panel estimated generalized least squares method and included additional control variables in order to strengthen the research conducted. Our goal consists in the examination of the financial risks in the European Union and in the estimation of their impact on economic growth.