BULGARIAN ECONOMY AFTER THE GLOBAL CRISIS: CHANCES AND RISKS

IVAN TODOROV

 

Abstract

The dynamics of some of Bulgaria’s macroeconomic indicators after the global financial crisis has been analyzed. An attempt has been made to highlight the basic opportunities and threats for Bulgarian economy under a sovereign debt crisis in the Euro area.

 

Key words

Bulgaria, macroeconomic policy, global financial crisis, Euro area sovereign debt crisis, risks, chances Bulgaria, macroeconomic policy, global financial crisis, Euro area sovereign debt crisis, risks, chances

 

References

Минасян, Г. „Вотът на банкерите”, http://money.bg/columnist/id_559357799

 

Full Text:  PDF (Bulgarian)

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