Critical Re-evaluation of Sovereign Debt Dynamics in Emerging Markets: A Stochastic Approach to Debt Sustainability
Keywords:
Sovereign Debt Dynamics, Emerging Markets, Debt Sustainability, Stochastic Processes, Fiscal Policy, Econometric Models, Global Economic UncertaintiesAbstract
This study rigorously investigates the stochastic properties of sovereign debt dynamics in emerging markets, focusing on debt sustainability amidst global economic uncertainties. By employing advanced econometric models, the research disentangles the impact of exogenous shocks on debt trajectories. The findings underscore the necessity for adaptive fiscal frameworks to mitigate adverse effects, thus ensuring long-term economic stability. The analysis provides deeper insights into the interplay between debt accumulation and policy interventions, offering crucial implications for policymakers.
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