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Inflation Targets – What Factors Can Help to Explain Their Levels

机译:通货膨胀目标 - 哪些因素可以帮助解释他们的水平

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Inflation targeting is nowadays used by around 40 countries, with each of them tailoring some features of the strategy to its own needs. This holds especially for deciding on the level of inflation targets. The analysis conducted in the paper aims at identifying factors affecting the choice of the target levels, with macroeconomic, structural and institutional characteristics of the reviewed economies being investigated. The main conclusion is that both backward- and forward-looking models can help to explain how inflation targets are set. Evidently inflation and GDP growth (past and forecast) together with information on a possibly ongoing disinflation process are of key importance, but – especially for emerging market economies – also inflation variance and the level of economic development seem to influence the target levels. Moreover, many of the institutional features related, among others, to transparency and accountability of the reviewed central banks, were found significant in the analysis.
机译:现在,通货膨胀靶向由大约40个国家使用,每个国家都有各种各样的策略的特征,以其自身需求。这尤其适用于决定通胀目标的水平。本文进行的分析旨在识别影响目标水平选择的因素,审查经济体的宏观经济,结构和体制特征进行了调查。主要结论是,落后和前瞻性的模型都可以帮助解释通货膨胀目标如何设置。显然通货膨胀和GDP增长(过去和预测)以及可能正在进行的灭亡过程的信息具有重要意义,但 - 特别是对于新兴市场经济体 - 也是通货膨胀方差和经济发展水平似乎影响目标水平。此外,在分析中发现了许多与审查的中央银行的透明度和问责制相关的机构特征在分析中发现了重要意义。

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