This analysis was initiated and developed in the context of the events as of 10 June 2015 when the Moldovan policy makers indirectly decided upon the inadmissibility of a new program with the International Monetary Fund (IMF).
The immediate and medium term consequences, between 2015 and the first half of 2016, will be evident on several key dimensions: budgetary, financial, economic, social and political. Further, we plan to evaluate the risks and the potential quantifiable and qualitative consequences, entailing from the decision of the development partners to suspend financial support offered to Moldova, upon the public finances (budget) and public debt.