Anti-Crisis Fiscal Policy – Objectives, Conditions, Tools
Abstract
The purpose of this article is to present changes to the broad financial system, consisting of financial system market and public finance sector from the perspective of effects evaluation of the financial crisis. In the opinion of the author it seems to be fundamental to answer the question whether and in which direction should changes be carried out in the area of fiscal policy optimization, which probably is going to change, when it is considered from the point of bearing the fiscal stability and economic growth in new post-crisis conditions. There are sets of investigation results and literature positions, including thoughts on financial crisis influence on changes of public finances (general government). It seems important to draw attention to some aspects of this issue, as well as to assess the impact of new solutions proposed to public finance in the future.
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DOI: http://dx.doi.org/10.17951/h.2016.50.1.113
Date of publication: 2016-04-03 14:40:10
Date of submission: 2015-09-13 23:27:06
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