The EU's response to the global financial crisis and sovereign debt crisis Economic governance under stress?

被引:6
|
作者
Begg, Iain [1 ]
机构
[1] London Sch Econ, European Inst, London WC2A 2AE, England
关键词
European Union; Monetary Policy; Euro Area; European Central Bank; Sovereign Debt;
D O I
10.1007/s10308-012-0304-8
中图分类号
D81 [国际关系];
学科分类号
030207 ;
摘要
Since the sovereign crisis erupted in the autumn of 2009 when the true scale of the Greek fiscal deficit was revealed, the European Union (EU), and especially the euro area, has staggered from crisis to crisis. Major initiatives have, however, been taken to improve economic governance and to put in place a more resilient framework for the euro. This article assesses how the EU has responded to the crisis and offers explanations for why the reform process has been slow and indecisive. It shows that potentially enduring solutions are on the table, but that they have been hard to introduce because of differing national perspectives and disagreements about how the burdens of adjustment should be shared. The article concludes by setting out plausible options and explaining what they entail.
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页码:107 / 124
页数:18
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