Évaluation empirique d’une fonction de réaction budgétaire pour l’économie colombienne, 2000-2012

Auteurs-es

  • Juan Galvis Université nationale de Colombie

DOI :

https://doi.org/10.17533/udea.le.n82a2

Mots-clés :

politique fiscale, impôts, écart de production, inflation

Résumé

Cet article fournit une fonction de réaction budgétaire optimale, laquelle est ensuite vérifié empiriquement pour l’économie colombienne entre les périodes 2000-1 et 2012-12. La fonction de réaction considère les impôts entant qu’une variable dépendante, laquelle est une fonction des dépenses publiques, de l’écart de production et du taux d’inflation. Le modèle est ensuite vérifié par trois méthodes: une analyse des tendances, une analyse d’impulsion-réponse et la méthode des moments généralisés (GMM). Les résultats montrent que les variables proposées représentent un tiers des variations des impôts.

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Biographie de l'auteur-e

Juan Galvis, Université nationale de Colombie

Doctorant en économie, Universidade Federal Fluminense, Brésil. Membre du groupe de recherche en microéconomie appliquée et théorie économique, Faculté des sciences humaines et économiques, Université nationale de Colombie, siège de Medellín

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Comment citer

Galvis, J. (2015). Évaluation empirique d’une fonction de réaction budgétaire pour l’économie colombienne, 2000-2012. Lecturas De Economía, (82), 57–92. https://doi.org/10.17533/udea.le.n82a2

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