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Optimale Verschuldung, Konsolidierungstrajektorien und Makroeffekte

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  • Heise, Arne

Abstract

In dieser Arbeit sollen die Konsequenzen einer unhinterfragten Konsolidierungspolitik untersucht werden. Dazu wird ein einfaches Modell ,optimaler öffentlicher Verschuldung' konstruiert, das sowohl als Ausgangspunkt für die Erklärung der Konsolidierungsbehühungen dient, als auch mögliche Konsolidierungstrajektorien vor dem Hintergrund verschiedener Paradigmen verständlich macht. Im empirischen Teil wird dann anhand eines Vergleichs der Finanzpolitik in Großbritannien und Deutschland zwischen den möglichen Trajektorien diskriminiert, um daraus schließlich einige Konsequenzen für die gegenwärtige Diskussion in Deutschland und der Euro-Zone ziehen zu können.

Suggested Citation

  • Heise, Arne, 2003. "Optimale Verschuldung, Konsolidierungstrajektorien und Makroeffekte," Working Papers on Economic Governance 4, University of Hamburg, Department of Socioeconomics.
  • Handle: RePEc:zbw:uhhafs:4
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    Cited by:

    1. Heise, Arne & Lierse, Hanna, 2011. "The 'European social model' under pressure," Working Papers on Economic Governance 37, University of Hamburg, Department of Socioeconomics.
    2. Pusch, Toralf & Heise, Arne, 2008. "Central Banks, Trade Unions and Reputation – Is there Room for an Expansionist Manoeuvre in the European Union?," MPRA Paper 19719, University Library of Munich, Germany.

    More about this item

    Keywords

    Öffentliche Verschuldung; Haushaltskonsolidierung; Finanzpolitik;
    All these keywords.

    JEL classification:

    • I10 - Health, Education, and Welfare - - Health - - - General
    • I11 - Health, Education, and Welfare - - Health - - - Analysis of Health Care Markets

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