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The Impact of Oil Prices on Macroeconomic Indicators in Azerbaijan and Georgia
dc.contributor.advisorHorváth, Roman
dc.creatorKarimov, Farhad
dc.date.accessioned2017-05-27T13:08:17Z
dc.date.available2017-05-27T13:08:17Z
dc.date.issued2015
dc.identifier.urihttp://hdl.handle.net/20.500.11956/70443
dc.description.abstractUsing a multivariate vector autoregression (VAR) approach, this paper investigates the relationships between oil price and macroeconomic indicators of closely interrelated developing economies of oil exporting Azerbaijan and oil importing Georgia based on monthly time series from January 2001 to November 2012. The model is estimated for each country separately and the results are object for comparison. The empirical evidence suggests that oil price has significant effects on macroeconomy in both countries. In particular, these effects are positive for all 3 macroeconomic variables on the example of Azerbaijan. On the example of Georgia, these effects are positive for GDP and inflation rate, and, negative for exchange rate. On the other hand, macroeconomic indicators of Azerbaijan fail to affect oil price level.en_US
dc.languageEnglishcs_CZ
dc.language.isoen_US
dc.publisherUniverzita Karlova, Fakulta sociálních vědcs_CZ
dc.subjectOil pricesen_US
dc.subjectMacroeconomic indicatorsen_US
dc.subjectVAR modelsen_US
dc.subjectAzerbaijanen_US
dc.subjectGeorgiaen_US
dc.titleThe Impact of Oil Prices on Macroeconomic Indicators in Azerbaijan and Georgiaen_US
dc.typediplomová prácecs_CZ
dcterms.created2015
dcterms.dateAccepted2015-06-23
dc.description.departmentInstitute of Economic Studiesen_US
dc.description.departmentInstitut ekonomických studiícs_CZ
dc.description.facultyFakulta sociálních vědcs_CZ
dc.description.facultyFaculty of Social Sciencesen_US
dc.identifier.repId151653
dc.title.translatedThe Impact of Oil Prices on Macroeconomic Indicators in Azerbaijan and Georgiacs_CZ
dc.contributor.refereeKraicová, Lucie
dc.identifier.aleph002010893
thesis.degree.nameMgr.
thesis.degree.levelnavazující magisterskécs_CZ
thesis.degree.disciplineEkonomie a financecs_CZ
thesis.degree.disciplineEconomics and Financeen_US
thesis.degree.programEkonomické teoriecs_CZ
thesis.degree.programEconomicsen_US
uk.thesis.typediplomová prácecs_CZ
uk.taxonomy.organization-csFakulta sociálních věd::Institut ekonomických studiícs_CZ
uk.taxonomy.organization-enFaculty of Social Sciences::Institute of Economic Studiesen_US
uk.faculty-name.csFakulta sociálních vědcs_CZ
uk.faculty-name.enFaculty of Social Sciencesen_US
uk.faculty-abbr.csFSVcs_CZ
uk.degree-discipline.csEkonomie a financecs_CZ
uk.degree-discipline.enEconomics and Financeen_US
uk.degree-program.csEkonomické teoriecs_CZ
uk.degree-program.enEconomicsen_US
thesis.grade.csVýborněcs_CZ
thesis.grade.enExcellenten_US
uk.abstract.enUsing a multivariate vector autoregression (VAR) approach, this paper investigates the relationships between oil price and macroeconomic indicators of closely interrelated developing economies of oil exporting Azerbaijan and oil importing Georgia based on monthly time series from January 2001 to November 2012. The model is estimated for each country separately and the results are object for comparison. The empirical evidence suggests that oil price has significant effects on macroeconomy in both countries. In particular, these effects are positive for all 3 macroeconomic variables on the example of Azerbaijan. On the example of Georgia, these effects are positive for GDP and inflation rate, and, negative for exchange rate. On the other hand, macroeconomic indicators of Azerbaijan fail to affect oil price level.en_US
uk.file-availabilityV
uk.publication.placePrahacs_CZ
uk.grantorUniverzita Karlova, Fakulta sociálních věd, Institut ekonomických studiícs_CZ
dc.identifier.lisID990020108930106986


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