Fiscal Monitor

Fiscal Monitor, April 2012: Balancing Fiscal Policy Risks

April 20, 2012

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Fiscal Monitor, April 2012: Balancing Fiscal Policy Risks, (USA: International Monetary Fund, 2012) accessed September 18, 2024

Summary

Overall, fiscal risks remain elevated, according to this issue, although there are signs that in some key respects they are less acute than six months ago. Past efforts with fiscal consolidation are beginning to bear fruit, particularly when buttressed by credible institutional commitments. Nevertheless, debt ratios in many advanced economies are at historical levels and rising, borrowing requirements remain very large, financial markets continue to be in a state of alert, and downside risks to the global economy predominate. In this uncertain environment, the challenge for fiscal policy is to find the right balance between exploiting short-term space to support the fragile recovery and rebuilding longer-term space by advancing fiscal consolidation. Against that background, this issue examines in more detail the concept of fiscal space, or the scope that policymakers have to calibrate the pace of fiscal adjustment without undermining fiscal sustainability. A number of conclusions emerge in regard to countries ongoing vulnerability to unexpected shocks, the potential for substantial negative impacts of fiscal adjustment on activity, possible overstatements of short-term pressures on the public finances in some countries as general government gross debt ratios have risen, the implications of countries having flexibility in the short term but not the longer term, and the monitoring and enforcement challenges raised by second-generation fiscal rules.

Subject: Fiscal consolidation, Fiscal policy, Fiscal stance, Macroeconomic and fiscal forecasts, Public debt, Public financial management (PFM)

Keywords: Africa, Asia and Pacific, Asset swap, Country abbreviation, Def, East Africa, Europe, Expenditure elasticity, Financial crisis responsibility fee, Fiscal consolidation, Fiscal stance, FM, Global, Government finance statistics manual, Item, Macroeconomic and fiscal forecasts, Middle East, North Africa, Securities market program, Spending increase, Sub-Saharan Africa, Term, Western Hemisphere

Publication Details

  • Pages:

    96

  • Volume:

    ---

  • DOI:

    ---

  • Issue:

    ---

  • Series:

    Fiscal Monitor No. 2012/001

  • Stock No:

    FMOEA2012001

  • ISBN:

    9781616352486

  • ISSN:

    2219-276X

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