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1.
What was the impact of military conflict on economic inequality? I argue that ordinary military conflicts increased local economic inequality. Warfare raised the financial needs of communities in preindustrial times, leading to more resource extraction from the population. This resource extraction happened via inequality-promoting channels, such as regressive taxation. Only in truly major wars might inequality-reducing destruction outweigh inequality-promoting extraction and reduce inequality. To test this argument I construct a novel panel dataset combining information about economic inequality in 75 localities, and more than 700 conflicts over four centuries. I find that the many ordinary conflicts — paradigmatic of life in the preindustrial world — were continuous reinforcers of economic inequality. I confirm that the Thirty Years’ War was indeed a great equaliser, but this was an exception and not the rule. Rising inequality is an underappreciated negative externality in times of conflict.  相似文献   

2.
The trend towards further reductions in world military expenditure does not seem to be shared by most Asian-Pacific countries. Military expenditure in the region continues to expand, but the military burden (the proportion of military expenditure in GDP) and the military share (the share of military expenditure in central government expenditure) are declining in most Asian-Pacific countries. This is largely due to sustained high economic growth in the region. Thus far, the military burden has not had an adverse effect on the region's economic growth, but continued expansion of military expenditure is not sustainable in countries where the military share is high. Asian-Pacific countries are vigorously developing, modernizing and upgrading their indigenous arms production capabilities. This effort has been aided not only by the availability of financial resources but also by the changing nature of the international arms market that offers attractive package deals, including various licensing, co-production and offset manufacturing arrangements.  相似文献   

3.
Geocoded conflict information was combined with the 2014 household census data to study the impact of long-lasting township-level internal conflicts on Myanmar's primary school attendance (i.e., the short-term impact) and years of education (i.e., the long-term impact). First, we constructed quasi-panel data for primary-level schooling to find consistently negative, but statistically insignificant, impacts of internal conflicts. The results are robust, even if incompleteness of census or migration are taken into account. In addition, the magnitudes of estimated impacts are much smaller than those of the findings from other countries. Second, we confirmed that conflict exposure from 6−10 years of age has a negative but insignificant impact on years of education. Gender differences in terms of negative impact are almost negligible. By carefully reviewing previous papers and the characteristics of Myanmar’s conflicts until 2014 with respect to the mechanism of the negative effect of conflict on education, we argue that the small negative and statistically insignificant impact found in our analysis is due to the long-lasting and low-intensity nature of the conflicts, as well as the fact that schools and social services are provided by military forces. However, it is important to note that our analysis does not include data of the recent violence in Rakhine state.  相似文献   

4.
ABSTRACT

Poverty and corruption can both immiserate a nation. Globalisation through open trade can potentially increase economic growth, providing employment and increased incomes to the poor. Corruption can dampen or even reduce these positive developments. Although globalisation is considered instrumental in development strategies, theoretically, the impact of globalisation on poverty reduction is ambiguous, an ambiguity that is also reflected in the empirical literature. The corruption-poverty literature clearly reveals that empirical findings on such association are at best heterogeneous. This article examines the effects of globalisation and corruption on poverty using time series data for South Africa for the period 1991–2016. Three indicators of poverty and recently developed measures of globalisation and corruption were employed in the logistic regression model used for estimation. The results confirm that globalisation reduces poverty while corruption intensifies it. The globalisation findings are robust across the different measures of poverty while unidirectional results show corruption increases poverty.  相似文献   

5.
We analyse the determinants of the Gini coefficient for income and expenditure in South Korea between 1975 and 1995. In both cases, we do not find support for the Kuznets inverted-U hypothesis. From an economic globalization viewpoint, the opening of goods markets reduces income inequality in both the short run (the Gini coefficient for income) and the long run (the Gini coefficient for expenditure). On the other hand, the opening of capital markets increases income inequality in both the short and the long run, although the latter is not statistically significant. These results suggest that the effect of economic globalization on income inequality has two routes and two different speeds.  相似文献   

6.
While there has been extensive evidence provided on the varying effects of leaders’ extended tenures on economic growth, political institutions and conflict, little attention in the empirical literature has been given to the determinants that may contribute to long tenures. Without being cognisant of these underlying factors, any efforts aimed at limiting tenures to progress economic development and democratic institutions will have little effect, as evidenced by several leaders’ attempts to subvert constitutional laws in this regard. Using panel data analysis for sub-Saharan African countries between 1960 and 2015, this study looks at the likely determinants (both at individual and country level) that can increase or decrease political survival. The preliminary results suggest that at an individual level, the leader’s age, political career and rebel experience increase the likelihood of extended tenure, while the leader’s education reduces the probability of extended tenure. At a country level, the country’s wealth is likely to increase tenures, while increased conflict and strong institutions decrease a leader’s tenure.  相似文献   

7.
This paper investigates how financial development and financial structure affect the growth effect of monetary policy using panel data from 49 countries over the period 1980–2014. We find robust evidence that financial development has a significantly negative impact on the growth effect of monetary policy. We also find that the growth effect of monetary policy tends to be more pronounced as the financial structure of a country becomes more market-based. These results not only add interesting new evidence to the recent literature on the growth effects of monetary policy, but also provide some important insights into the financial determinants of monetary policy effects on economic growth, which have largely been ignored in the previous literature.  相似文献   

8.
This paper investigates the expenditure patterns of South African households using detailed cross‐sectional expenditure and price data that varies across region and time. Linear expenditure system parameter estimates are used to calculate income and price elasticities for a number of product categories at different points of the income distribution. We find substantial variation in the price and income elasticities of demand for items across the income distribution, with the bottom quartile being extremely sensitive to increases in the price of food and clothing items, and the top quartile being as sensitive as households in developed countries.  相似文献   

9.
We investigate the budgetary effects of project and program financing on the behavior of recipient governments. For this purpose, we developed a simple fiscal response model. The solution of the model is then tested using panel data techniques for a relatively large sample of 106 aid-recipient countries spanning the period 1970–2001. With respect to public expenditure, our results suggest that the impacts of project aid and financial program aid on total expenditure are positive and statistically significant. In terms of the composition of total expenditure, we find that project aid flows are associated with increases in capital expenditure while financial program aid is associated with an increase in government consumption. Turning to the revenue side we found no evidence that aid flows, project or financial program aid, are associated with a reduction in taxation effort. The evidence also shows that project aid flows are associated with an increase in trade tax. JEL no. F35, H2, H5  相似文献   

10.
This paper investigates the determinants of growth in the Asian developing economies. We use Bayesian model averaging (BMA) in the context of a dynamic panel data growth regression to overcome the uncertainty over the choice of control variables. In addition, we use a Bayesian algorithm to analyze a large number of competing models. Among the explanatory variables, we include a nonlinear function of inflation that allows for threshold effects. We use an unbalanced panel data set of 27 Asian developing countries over the period 1980–2009. Our empirical evidence on the determinants of growth suggests that an economy's investment ratio is positively correlated to growth, whereas government consumption expenditure and terms of trade are negatively correlated. We also find evidence of a nonlinear relationship between inflation and economic growth, that is, inflation impedes economic growth when it exceeds 5.43% but does not have any significant effect on growth below that level.  相似文献   

11.
Following the present scale of fiscal imbalances in developed countries, significant fiscal consolidation will be inevitable in the coming years. Fiscal discipline will require cuts in government expenditure, leading to trade‐offs between different components of government expenditure. In this article, we explore the relationship between components of government expenditure and government size during the period 1970‐2007 for a sample of 25 developed countries to shed light on how fiscal discipline might influence public spending composition in the coming years. Using the Pooled Mean Group estimation we find that fiscal adjustments protect functions that have both a social and productive character, such as education and health spending. In addition, the most productive spending, that related to transport and communications, is also isolated from budgetary cuts. This result shows evidence of governments reacting to the voter's increasing realization that reducing productive expenditures harms long‐term economic growth by striking a balance between utility and economic‐growth‐enhancing expenditure.  相似文献   

12.
This article presents a theoretical approach to analysing how a country with market power could affect international relations. The liberal view and trade‐conflict model claim that if countries seek to protect their trade gains, trade will reduce conflict between pairs of countries, designated “actors” and “targets”. The main purpose of this paper is to examine the effect of market power on the gains from trade. Once the distribution of trade gains is changed between countries, the conflict and cooperation relationships between countries will also alter. We apply the trade‐conflict model to derive two propositions as follows: (1) the more monopoly power over exports a monopolistic target has, the greater the amount of actor‐to‐target conflict; (2) the more monopsony power over imports a monopolistic target has, the greater the amount of actor‐to‐target conflict. To summarise, these hypotheses will predict that a country with market power reaps the gains from trade and will exhibit less conflict and more cooperation, whilst the country that is exploited will exhibit more conflict and less cooperation.  相似文献   

13.
While previous studies have neglected the spatial interaction effects in modelling healthcare expenditure across countries, this study provides the first thorough spatial analysis of public healthcare expenditures between countries so far. It investigates the determinants of public healthcare expenditure in Sub‐Saharan Africa (SSA) using a balanced panel of 43 SSA countries over the period 2000 to 2015. Both spatial interdependence and individual heterogeneity are accounted for through the application of the spatial autoregressive model so as to avoid potential bias and inefficiencies in parameter estimates. In addition to statistically significant effects of income, population density, official development assistance, and political stability, the results indicate the existence of positive spatial dependence in public healthcare expenditure in SSA. This suggests that governments in SSA countries tend to base their decision to allocate healthcare expenditure on that of nearby countries. Moreover, the results reveal significant impacts of population density and official development assistance of neighbouring countries on a country's level of public healthcare expenditure.  相似文献   

14.
This paper examines what makes us feel richer or poorer than others. It investigates cross‐sectional and longitudinal determinants of individuals’ subjective economic status in Indonesia. Using two waves of Indonesian Family Life Surveys, 1997 and 2000, I show that individuals’ perceptions of where they are on the economic scale are more dependent on a number of socioeconomic characteristics, as well as their attitudes towards their future economic status, than their current spending capacities would suggest. I also find significant, albeit weaker, expenditure and income effects on individuals’ subjective economic status once individual fixed effects are controlled for in the regression.  相似文献   

15.
Trends in wage–rental ratios figure prominently in the recent literature on factor price convergence and globalisation in the late nineteenth century. Sweden has been described as a free-trade country whose wage–rental ratio exhibited a distinctive upward trend before World War I. This article presents a new land price series that indicates an increase in land rentals and an evolution of the wage–rental ratio more in line with other European protectionist countries. We explore the determinants of the Swedish wage–rental ratio and assess the relative importance of protectionism and changes in Swedish farming's product mix from crop to animal products.  相似文献   

16.
国际机制不仅影响国家行为体,也影响国家层面之下的非国家行为体,并作用于两类行为体间的互动。作为最为成熟也是影响范围最为广泛的国际机制之一,国际贸易机制一方面通过机制功能作用于国内政治中的国家行为体与非国家行为体,另一方面施加影响于贸易议题从而刺激国内各行为体之间的互动。无论是机制还是贸易都与国际和平战争研究紧密相关,如"贸易和平论"与"国际制度和平论"。基于国际原因与国内产出之间的关系,国际贸易机制如何影响国内政治,特别是影响国内冲突的爆发风险?通过回归断点设计(RDD)与Logit回归分析,1946-2009年之间的国际贸易机制(关贸总协定/世界贸易组织)数据及国内武装冲突数据显示,关贸总协定/世界贸易组织成员资格的确能够在整体上显著降低国内武装冲突发生的可能性;但是,在分别控制经济因素、政治因素、社会因素、贸易因素和外部因素之后,实证结果显示国际贸易机制对各国国内冲突风险实际上是一种条件性的混合影响。  相似文献   

17.
We manually collect data on China's overseas industrial parks from 2007 to 2018, and match it with data on the country’s outward foreign direct investment (OFDI), using the system generalized method of moment (system GMM) approach to test how constructing overseas industrial parks affects China's OFDI. The results indicate that each new overseas industrial park established significantly increases China's OFDI by 2.89%. And the effect only exists in non-high-income host countries, rather than high-income host countries. We also investigate the effects of different types of industrial parks, and find that agricultural, light industrial, high-tech, comprehensive and heavy industrial parks have significant effects, while logistics parks do not. The mechanism analysis suggests that establishing overseas industrial parks increases China’s OFDI by reducing host countries’ economic and financial risks, and improving bilateral political relations. We further find that establishing overseas industrial parks is more likely to promote OFDI in host countries with imperfect infrastructure, impeded capital flows and low levels of unimpeded information. Our findings shed light on how developing countries could enlarge and stabilize OFDI.  相似文献   

18.
《World development》2002,30(8):1401-1412
This paper uses a large database of laboratory test results to investigate the sources of international variation in pesticide residues on food products. We specify and estimate a model that incorporates contamination effects attributable to product pest sensitivity, pesticide toxicity levels and characteristics of the producing country. Among the latter, our model tests for the effects of income, education and openness to trade. We find large and highly significant “generic” differences in contamination of food products, reflecting pesticide applications that vary with pest sensitivity. Controlling for these differences, we find strong effects for income and education. Pesticide residues on agricultural products fall sharply as income increases, but rise significantly with education. Our model attributes the latter effect to the choice of more capital-, skill- and pesticide-intensive technologies in better-educated societies. We find no significant impact for openness to trade. Our results suggest that workers and consumers in low-income societies have far higher exposure to toxic pesticides than their counterparts in high-income societies, but that consumers in the latter experience significant increases in toxic exposure risk as agricultural trade with developing countries expands. The paper concludes with a discussion of appropriate instruments for resolving a potentially serious trade-environment conflict on this front.  相似文献   

19.
利益矛盾分为纵向和横向两种。公平与效率问题和纵向、横向矛盾交织在一起。为了兼顾公平与效率,促进经济社会和谐发展,政府要通过干预,实现收入的再分配。在这个过程中,政府要①准确把握经济社会运行的阶段和各阶层的相对情况;②合理把握纵向利益矛盾的限度③科学把握横向利益矛盾的限度。改革开放以来政府收入再分配的经验,主要就是合理利用和发挥社会成员的横向利益矛盾,激发人们的劳动积极性,促进经济效率的提高;同时善于运用纵向利益矛盾,发挥政府的作用,保证社会的基本公平。  相似文献   

20.
In this study, we provide empirical evidence on the incentive role of official promotion from the perspective of managing economic growth targets. Using a manual dataset of economic growth targets in 230 Chinese cities during 2003–2016, we find that economic growth targets of governments curb public service expenditure on education, science and technology and this distortion results in the stagnation of human capital and technological progress, constraining long-term economic growth. When the growth target size of cities exceeds that of higher-level governments or if governments overfulfill their growth target tasks, then public service expenditure will decrease. We interpret the empirical findings as evidence that promotion evaluation based on economic performance distorts the composition of public expenditure, hinders sustainable economic development, and even accelerates the start of an economic downturn. Our study adds significant evidence to the theoretical literature emphasizing that the official evaluation system and public service could affect business cycle.  相似文献   

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