專欄英國經濟

A warning shot for the British experiment

The preliminary figures on UK gross domestic product for the fourth quarter of last year were a shock. Where now is the robust recovery that justified the government’s rapid fiscal retrenchment? In a word, nowhere. It is not just that output fell by 0.5 per cent from the previous quarter. Recovery was always likely to be “choppy”, as Mervyn King, governor of the Bank of England, noted in a significant speech this week. More important is the big picture: in the fourth quarter GDP was 4.4 per cent below where it had been at its latest peak, in the first quarter of 2008; it was the same as in the first quarter of 2006; and it was 8 per cent below the trend line for the last two decades. In short, the economy is very weak indeed.

The decline may be revised away. But it is unlikely. Upward revisions of 0.5 percentage points, or more, between the initial estimate and that made three years later happened only six times between the first quarter of 1993 and the fourth quarter of 2007. On average, the revisions were just 0.1 percentage point. It is highly likely, then, that the fall in GDP will prove real.

Moreover, this decline in an already desperately weak economy occurred not just before fiscal tightening had seriously begun but when both short-term and long-term interest rates were already extremely low. With inflation significantly overshooting its target, the chances that the monetary policy committee would have the courage to undertake further quantitative easing are, alas, negligible. David Cameron, the prime minister, has weighed in among the worriers about the inflationary trends. That was foolish. But it can only add to pressure on the MPC.

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馬丁•沃爾夫

馬丁•沃爾夫(Martin Wolf) 是英國《金融時報》副主編及首席經濟評論員。爲嘉獎他對財經新聞作出的傑出貢獻,沃爾夫於2000年榮獲大英帝國勳爵位勳章(CBE)。他是牛津大學納菲爾德學院客座研究員,並被授予劍橋大學聖體學院和牛津經濟政策研究院(Oxonia)院士,同時也是諾丁漢大學特約教授。自1999年和2006年以來,他分別擔任達佛斯(Davos)每年一度「世界經濟論壇」的特邀評委成員和國際傳媒委員會的成員。2006年7月他榮獲諾丁漢大學文學博士;在同年12月他又榮獲倫敦政治經濟學院科學(經濟)博士榮譽教授的稱號。

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