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1.
New and consistent series for Latin American real incomes, life expectancy and adult literacy over the twentieth century reveal that living standards rose most rapidly between the 1930s and 1970s, a period characterised by increased state intervention and reduced trade openness. Within the region, Brazil and Mexico advanced most over the century as a whole despite the early start made by Argentina and Chile, although convergence between larger countries was accompanied by divergence from smaller ones. There was no sustained narrowing of the income gap with the US at all between 1900 and 2000 but some convergence in living standards due to improved life expectancy. Our new estimates of regional per capita income also permit a clearer comparison with both Europe and Asia. The major advances in living standards achieved in the middle decades of the century were closely related to early industrialization, rapid urbanization, and the extension of primary health and education. Subsequent economic volatility and fiscal fragility limited further increases in living standards, undermining social consensus on development strategy.  相似文献   

2.
H.K. van Dijk 《De Economist》2004,152(2):211-232
Using annual data on real Gross Domestic Product per capita of seventeen industrialized nations in the twentieth century the empirical relevance of shocks, trends and cycles is investigated. A class of neural network models is specified as an extension of the class of vector autoregressive models in order to capture complex data patterns for different countries and subperiods. Empirical evidence indicates nonlinear positive trends in the levels of real GDP per capita, time varying growth rates, switching behavior of individual countries with respect to their position in the distribution of real GDP per capita levels over time. Such evidence presents challenges for economic modelling, forecasting and policy analysis for the long run.  相似文献   

3.
Unit root tests, the Johansen maximal likelihood methodology, and Granger causality tests in the context of a one-step error correction model are used to examine the long-run relation between population and per capita GDP in seven Latin American countries over most of the 20th century. The results suggest that no long-run relation has existed and, hence, population growth neither causes per capita GDP growth nor is caused by it.  相似文献   

4.
Sub-Saharan Africa (SSA) has been absent from recent debates about comparative long-run growth owing to the lack of data on aggregate economic performance before 1950. This paper provides estimates of GDP per capita on an annual basis for eight Anglophone African economies for the period since 1885, raising new questions about previous characterizations of the region's economic performance. The new data show that many of these economies had levels of per capita income which were above subsistence by the early twentieth century, on a par with the largest economies in Asia until the 1980s. However, overall improvements in GDP per capita were limited by episodes of negative growth or “shrinking”, the scale and scope of which can be measured through annual data.  相似文献   

5.
This article compares the real GDP per capita of the Cape Colony and Natal between 1861 and 1909 with that of Australia's two most developed colonies, Victoria and New South Wales. Estimates of European and non‐European GDP per capita for both South African colonies are also provided. Together, this information allows for the first time an evaluation of the growth performance of these important parts of the South African economy in the colonial era. The article concludes that South African performance in this period was stronger than often assumed and that by the beginning of the twentieth century European South Africans, now more fully integrated into a British World economy, operated at a level of GDP per capita that matched and in some places may have exceeded that of Australians. Non‐European South Africans, however, did not share in these same advances.  相似文献   

6.
This paper builds an inequality-growth-redistribution nexus, and applies the Engle–Granger two-step ECM approach to estimate the long-run and short-run relationships between inequality and growth for four economies: China, Japan, South Korea, and the United States. Our estimation results support the S-shaped curve hypothesis relating GDP per capita to inequality with different starting points for the four economies. For the reverse relationship, we find a positive causal relationship for China, Japan, and the United States, indicating that increased income inequality spurred economic growth. In addition, we find mixed results on the effect of trade openness on inequality and growth. Trade openness reduced inequality in the United States and Japan, worsened it in China and had no significant effect in South Korea. In the inequality-GDP per capita relationship, exports provided an impetus to economic growth for Japan. As for redistribution, although fiscal redistributive measures reduced inequality in Japan, they played no major role in the other three countries. With regard to the inequality-GDP per capita relationship, all countries except for China show a negative effect of fiscal redistribution on GDP per capita.  相似文献   

7.
Using a world sample of countries, this paper re-examines the U-shaped relationship between per capita GDP (wealth) and life expectancy at birth (health). Since cross-sectional dependence across countries is detected, second-generation panel unit root and cointegration tests are employed. All the variables are found to be integrated in one order as well as cointegrated. Various quadratic specifications are also employed and the hypothesis is confirmed.  相似文献   

8.
This paper studies the apparent inconsistency between the evolution of GDP per capita and real wages in pre-industrial Europe. We show that these two measures will diverge when any of the three following factors are present: changes in income distribution, changes in labour supply per capita and changes in relative prices. We propose a methodology for measuring the effects of these three factors and apply it to the case of 18th century England. For this particular episode the gap between the growth of GDP per capita and real wages can be successfully explained and the main explanatory factor is changes in labour supply per capita. Some further conclusions are drawn from the experience of England during the 19th century and Europe during the early modern period.  相似文献   

9.
This article uses expenditure-based purchasing power parities (PPPs) to estimate GDP per capita in comparable prices for 12 Asian countries for six benchmark years during the period 1913–69. The article finds that in 1913 levels of real GDP per capita in several countries were comparable to those in Japan. GDP per capita in Japan and other Asian countries diverged during and after the First World War. The article questions whether Asia's ‘little divergence’ between Japan and other Asian countries dates back to the late eighteenth century. It draws attention to the different resource endowments of Japan, China, and India compared to other Asian countries, and their implications for the development trajectories of Asian countries. The article demonstrates that using historical PPP estimates yields estimates of GDP per capita that diverge from those based on retropolations of the single 1990 PPP-converted benchmark year. It concludes that historical estimates of PPPs are needed to confirm analyses of comparative economic performance based on available GDP per capita data.  相似文献   

10.
We construct decadal estimates of GDP per capita for the colonies and states of the Mid-Atlantic region between 1720 and 1800. They show that the region likely achieved modest improvements in per capita GDP over this period despite a number of demographic factors that tended to slow the pace of growth. Nonetheless the rate of growth we find is below that commonly assumed to have prevailed in eighteenth century North America and calls those estimates into question. The striking feature of the region's economy in the eighteenth century was not the rising living-standard, but its ability to achieve rapid extensive growth without a decline in living standards. To contemporaries this extensive growth and short-term volatility in incomes must have been much more visible than any trend improvement in overall well-being.  相似文献   

11.
Annual estimates of the GDP of Victoria for the period 1861–1976/77 are here presented and used as a basis for an analysis of Victoria’s long–run economic growth. Victoria is represented as having fallen behind the per capita GDP of Australia as a whole in the 1870s but to have out–paced the national growth rate from the early twentieth century until the late 1950s. The changing importance of natural resources and of the scope for manufacturing development are seen as the basis for an explanation of the Victorian divergence. The article carries the implication of a need for regional disaggregation in the analysis of Australian economic growth.  相似文献   

12.
Based on the convergence hypothesis and referring to the experience of East Asian high‐performing economies from 1950 to 2010, this paper projects and plots the potential growth rate of the Chinese economy over the next 20 years. It predicts that the potential growth rate of per capita GDP adjusted by purchasing power parity averages at 6.02 percent from 2015 to 2035, while the potential GDP growth rate of 2015 would still be above 8 percent, which implies that the realized rate of growth has not reached its potential since 2012. Besides, based on the per capita GDP projected and on cross‐country comparison, the paper plots the trajectory of structural change of the Chinese economy from 2015 to 2035. The result shows that: (i) the value‐added share of primary industry will drop more rapidly than the employment share; (ii) the value‐added share of secondary industry will decline and employment share will present an inverted U shape whose turning point will probably come between 2020 and 2025; (iii) both the value‐added and employment share of tertiary industry will increase continuously.  相似文献   

13.
This paper revisits the relationship between financial development and economic growth in Bangladesh by incorporating trade openness in production function using quarter frequency data over the period of 1976‐2012. We applied combined Bayer–Hanck cointegration approach to examine cointegration among the series. Our empirical evidence suggests that development of financial sector facilitates economic growth but capitalization impedes it. In addition, trade openness stimulates economic growth. Labour is also positively linked to economic growth. The vector error correction model Granger causality results divulge that financial development causes real per capita gross domestic product (GDP) growth, and resultantly, real per capita GDP growth causes financial development in a Granger sense. The results also show that trade and labour Granger cause economic growth. The findings of the paper provide insights for policymakers to use financial development and trade openness as a tool for sustained economic growth in the long run. The paper also suggests policymakers to utilise capitalization in a way that is beneficial for economic growth of Bangladesh.  相似文献   

14.
老龄化下人均经济增长率变动的实证分析   总被引:2,自引:0,他引:2  
王涵语  马磊  夏中泽   《华东经济管理》2008,22(1):44-49,107
文章从曼昆、罗默和韦尔的总量生产函数出发,在经济增长模型中加入老龄化因素,据此分析了老龄化所致人口结构变化对于人均经济增长率变动的影响,并对所建构的模型进行了检验,结果表明自1978-2004年老龄化因素下的人均经济增长变动率一直为正,但增长呈现下降趋势.同时对其变动作出了预测分析,结果表明我国在2035年以前处于人均经济增长变动率为正的人口红利期,在2036-2055年则处于人口亏损期.针对分析结论,本文提出了充分利用人口红利期的政策建议和未来研究的方向.  相似文献   

15.
Abstract

This article aims at analysing the role of foreign direct investment (FDI) outflows in economic performance and the impact of economic growth on outward FDI with the data from Japan. Bivariate and multivariate Granger causality frameworks have been used in this study. The results suggest that the conclusion of bivariate framework may not be valid because it allows omission of important variables. The results of the multivariate framework show that there is a long-run positive unidirectional causality from outward FDI to gross domestic product (GDP) per capita. In the short-run, both per capita income and outward FDI do not allow Granger causality.  相似文献   

16.
China is facing slowing growth rates, slowing rates of rural to urban migration and resistance to reforms that would liberalize internal migration restrictions (Hukou). We use a two sector Ramsey growth model and show that, allowing for endogenous capital accumulation, labour reallocation has accounted for approximately one fifth of China's per capita GDP growth over the last 30 years, and that Hukou reform could generate a significant boost to China's per capita GDP growth over the next decade. Our results contrast with conclusions drawn from the traditional growth accounting literature on labour reallocation effects in China because our simulation method allows for endogenous capital accumulation dynamics.  相似文献   

17.
This article surveys research on Taiwan's economic history for the past fifteen years, covering a period from approximately the eighteenth to early twentieth century. It discusses the works of economists as well as studies by researchers in history and other fields. The topics selected for the survey are: change of Taiwan's per capita GDP in the long-term; trade and development; aborigine property rights; and institutional change in the early Japanese colonial period.  相似文献   

18.
利用IPCC1996经验公式测算了1980-2011年中国城镇居民使用生活能源和生活垃圾填埋分解过程中排放的CO2。人均CO2排放量和人均生活能源CO2排放量呈先下降再上升的趋势,生活垃圾产生的CO2呈先波动上升再趋于平稳的趋势。采用WLS方法分析了其影响因素。城镇居民恩格尔系数和城镇失业率与人均CO2排放量呈负相关关系,人均GDP、第三产业占GDP比例、城镇化水平和城镇居民行为习惯与人均CO2排放量呈正相关关系;城镇居民行为习惯对人均CO2排放量的变化影响最大。  相似文献   

19.
Using data from late 19th and early twentieth century US prisons, this study considers how black and mixed-race basal metabolic rates and calories varied with economic development. During the nineteenth century, African-American physical activity and net nutrition decreased across their BMR and calorie distributions, and increasing black life expectancy indicates that decreasing mortality was not likely due to improved nutrition. Physically active farmers had greater BMRs and required more calories per day than workers in other occupations. Black diets, nutrition, and calories varied by residence, and rural blacks in the Deep South required the most calories per day, while their Northeastern urban counterparts required the least. Policy implications are that public sanitation facilities may be of greater import than nutrition during economic development.  相似文献   

20.
In addition to analyzing the characteristics of gender equality in secondary education enrollment in Africa, this paper empirically studies the key drivers of gender equality in secondary education enrollment, using cross‐sectional time series data from 1970 to 2010. Our results show that the coefficient associated with the level of real GDP per capita is positive and statistically significant in both the overall Africa sample and in the sub‐Saharan and North African samples. But the quadratic term of real GDP per capita is negative in sign and significant in the overall Africa and sub‐Saharan African estimates. These provide evidence of a hump‐shaped relationship between real GDP per capita and gender equality in secondary education enrollment in Africa. Our results also suggest that higher share of female teachers in secondary schools, increased democracy (at a decreasing rate), higher female share of the labor force, Christian dominance in a country, higher domestic investment rate, and being an oil‐exporting country increase gender equality in secondary education enrollment in the continent. However, higher population growth tends to lower it. The policy implications and lessons of these results are discussed.  相似文献   

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