1.

Record Nr.

UNINA9910780743303321

Titolo

Regional Economic Outlook, April 2008, Western Hemisphere

Pubbl/distr/stampa

Washington, D.C. : , : International Monetary Fund, , 2008

ISBN

1-4552-2464-2

1-4527-7656-3

1-283-53682-X

1-4519-4752-6

9786613849274

Descrizione fisica

1 online resource (56 p.)

Collana

Regional Economic Outlook

Soggetti

Economic forecasting - North America

Economic forecasting - Latin America

Economic forecasting - Caribbean Area

Banks and Banking

Finance: General

Inflation

Investments: Stocks

Macroeconomics

Investments: Commodities

Price Level

Deflation

Commodity Markets

Agriculture: Aggregate Supply and Demand Analysis

Prices

General Financial Markets: General (includes Measurement and Data)

Pension Funds

Non-bank Financial Institutions

Financial Instruments

Institutional Investors

Banks

Depository Institutions

Micro Finance Institutions

Mortgages

Investment & securities

Finance

Banking

Monetary economics



Commodity prices

Food prices

Stock markets

Stocks

Financial markets

Financial institutions

Commodities

Stock exchanges

Banks and banking

Commercial products

North America Economic conditions

Latin America Economic conditions 1982-

Caribbean Area Economic conditions 1945-

North America Economic conditions Statistics

Latin America Economic conditions 1982- Statistics

Caribbean Area Economic conditions 1945- Statistics

United States

Lingua di pubblicazione

Inglese

Formato

Materiale a stampa

Livello bibliografico

Monografia

Note generali

Description based upon print version of record.

Nota di bibliografia

Includes bibliographical references (p. 48-49).

Nota di contenuto

Cover; Contents; Executive Summary; I. Overview: Navigating Financial Turbulence; U.S. and Global Outlook: Financial Shocks Weakening Prospects; Boxes; 1.1 United States: State of Play in Financial Turmoil; Transmission of Global Shocks to the LAC Region; 1.2 Poverty and Inequality Trends in the LAC Region; 1.3 The Global Surge in Commodity Prices: Implications for Latin America; LAC Outlook and Risks; 1.4 Macroeconomic Overview of the Caribbean Region; 1.5 Policies Concerning the Social Impact of Food Inflation; Options for Managing the Global Shock

1.6 The Scope for a Counter cyclical Fiscal Policy in Latin America II. Latin American Linkages to Global Financial Market Turbulence; Resilience So Far, but Global Context Weak; Potential Pressure Points on the Region's Banks; 2.1 Financial Flows from the United States to Latin America; 2.2 Financial Linkages in the Caribbean; Tightening of Market Financing Conditions for Corporate Sector; Conclusions; 2.3 Stock Market Linkages Between Latin America and the United States During 'Tail Events'; III. World Commodity Prices and LAC Inflation; Inflation Is Rising Across the LAC Region

3.1 Inflation Pressures in the Caribbean Analysis of Factors Driving Inflation; 3.2 Effects of Commodity Prices on Consumer Prices; 3.3 What Might Account for the Different Inflation Impact Across Countries?; Conclusions; Main Economic Indicators; References

Sommario/riassunto

The main focus of this report is the outlook for the region in the face of the downturn now projected for the U.S. economy and the continuing risks that affect the global outlook. Overall the region is better placed than in the past to navigate the current financial turbulence, given reduced vulnerabilities and stronger policy frameworks. Nonetheless, the report points to risks that the global financial stress could curtail



capital flows to the region and world commodity prices could fall more than expected. There are also risks arising from rising inflation and rapid private credit growth in a number of countries. The report then explores the policy options facing governments in the region, underscoring the need to preserve the gains of recent years.