OS REFLEXOS DA CRISE FINANCEIRA DE 1997 NA ECONOMIA BRASILEIRA
DOI:
https://doi.org/10.5380/re.v24i0.1985Abstract
Este artigo busca analisar quais foram os efeitos, sobre as contas públicas e o setor externo da economia brasileira, das medidas adotadas pelo governo para evitar que o Brasil fosse contagiado por uma crise nas mesmas proporções que a Ásia. Inicialmente, mostra-se o comportamento da economia brasileira desde que o Plano Real foi implementado até julho de 1997, quando iniciou a crise na Ásia. Logo a seguir, mostram-se as medidas adotadas pelo governo para evitar a crise no Brasil. E, por fim, analisam-se as conseqüências de tais medidas sobre a economia brasileira até junho de 1998.
Abstract
This paper intends to analyze which were the implications, over both the Brazilian public budget and the balance of payments from the policy made by the government, after the Asians Crisis in 1997. First it shows the performance of the Brazilian economy since the government introduced the Real Plan in 1994 until the Asians Crisis. After that, it shows what the government made to avoid the crisis to be spreaded all over Brazil. Finally, it adresses the performance of the Brazilian economy after this crisis, until mid 1998.
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