ANALYSIS OF THE VARIABILITY OF MACROECONOMIC FINANCIAL QUANTITIES WITH THE EXAMPLE OF SELECTED EUROPEAN UNION COUNTRIES

Main Article Content

Alina Klonowska


Keywords : economic crisis, fiscal indicators, macroeconomic indicators
Abstract
The purpose of the article is an attempt to assess the prospects of entering the path of macroeconomic balance and stability in EU countries. A hypothesis was made in the work: the period of economic recovery of EU countries after 2009 raises real conditions for entering the path of macroeconomic balance and stability. The study of the relationship between domestic demand and GDP as well as the level of exports and GDP was carried out using the Pearson correlation coefficient. The assessment of the financial condition of the countries was made on the basis of measures of fiscal intervention. The research period covers the years 2000 – 2016. The first chapter explains the conditions for choosing a research group and applied research methods. The second chapter analyses the development of economic indicators. Changes in the scope of fiscal indicators are included in the third chapter. The summary presents the most important conclusions resulting from the conducted research.

Article Details

How to Cite
Klonowska, A. (2018). ANALYSIS OF THE VARIABILITY OF MACROECONOMIC FINANCIAL QUANTITIES WITH THE EXAMPLE OF SELECTED EUROPEAN UNION COUNTRIES . The Scientific Journal European Policies, Finance and Marketing, (19(68), 73–82. https://doi.org/10.22630/PEFIM.2018.19.68.7
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