How Africa can manage threats of stagflation
Files
Published version
Date
2015-10-05
DOI
Authors
Goncalves, Marcus
Version
Published version
OA Version
Published version
Citation
Marcus Goncalves. 2015. "How Africa can manage threats of stagflation." Financial Nigeria Journal. Volume 7, Issue 87, pp. 32 - 34.
Abstract
Africa’s current risk is of stagflation, meaning the risk of persistently high inflation combined with high unemployment and stagnant demand in the economies across the region. If financial restructurings are to thrive, they must be realized in a suitable macroeconomic, financial, and institutional environment.
Description
License
The final published version of this article appears in OpenBU by permission of the publisher, Financial Nigeria Journal.