MONITORING AND ANALYSIS OF DEBT AND THE DEBT CRISIS (methodological aspects) Cover Image

МОНИТОРИНГ И АНАЛИЗ НА ДЪЛГА И ДЪЛГОВАТА КРИЗА (методически аспекти)
MONITORING AND ANALYSIS OF DEBT AND THE DEBT CRISIS (methodological aspects)

Author(s): Andrey Zahariev, Valentin Milinov
Subject(s): Economy
Published by: Стопанска академия »Д. А. Ценов«
Keywords: currency balances;debt crisis;deficit;banking crisis

Summary/Abstract: The object of the current study is the public debt, and the subject – the tools for measurement (monitoring), evaluation and analysis of debt under the conditions of a growing global debt crisis. The analysis focuses on two working hypotheses: First. Determining the situation in the external sector of an economy is a function of the cumulative expression of the individual analytical balances reported as foreign exchange balances, on the one hand, and the status and trends in its external debt. Second. The debt crisis in the 21st century from a phenomenon typical of developing countries is becoming a global problem, whose solution requires the application of a variety of measures and decisions of national and international nature. The aim of the study is to develop ideas for methodologically sound assessment on an international basis of the current state of public debts as a basis for conducting national and internationally agreed policies for its management.

  • Issue Year: 22/2015
  • Issue No: 22
  • Page Range: 35-56
  • Page Count: 21
  • Language: Bulgarian