Effect of International Commodity Price Shocks on Public Finances in Africa

Author:

Da Dakpoulé1ORCID,Diarra Mahamadou1

Affiliation:

1. Department of Economics, University of Norbert Zongo, Koudougou, Burkina Faso

Abstract

This paper empirically investigates the macroeconomic responses to commodity price shocks with a focus on fiscal variables in a sample of thirty-three African commodity-dependent countries. Using the heterogeneous panel structural vector autoregressive (SVAR) approach developed by Pedroni, we find that government revenues as well as government expenditures react to commodity export prices shock. However, there is a large degree of heterogeneity across countries. Following country characteristics, we find that the response of fiscal variables is higher for countries dependent on extractive commodities than those dependent on agricultural ones. We also highlight the benefits of flexible exchange rate regimes for accommodating external shocks and ensuring macroeconomic stability, which in turn is beneficial to government revenue mobilization. Our results suggest that the African government should seize commodities as an opportunity and increase their efforts in revenue mobilization during price booms and make a productive investment to isolate their finances from commodity price collapses.

Publisher

SAGE Publications

Subject

Public Administration,Economics and Econometrics,Finance

Reference42 articles.

1. Bhattacharya R., Gupta P., Hua X., Pedroni P. 2018. How do Structural Features Affect Corporate Exposures to Macro-financial Shocks in Open Economies?

2. Macroeconomic Stability in Resource-rich Countries: The Role of Fiscal Policy

3. Do Resource-Rich Countries Suffer from a Lack of Fiscal Discipline?

4. Commodity prices and fiscal policy design: Procyclical despite a rule

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