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1.
Well-being has a multidimensional nature as it depends on multifaceted factors such as material conditions and quality of life. The Organization for Economic Co-operation and Development (OECD) has developed the Better Life Index (BLI) as part of the OECD Better Life initiative to facilitate the better understanding of what drives well-being of people. The BLI is a three-level hierarchical composite indicator that covers several socio-economic aspects. In this paper, considering the entire hierarchical structure of the index, we introduce a bottom-up procedure for the aggregation of the components at each level. We formulate the assessment of BLI as a multiple objective programming (MOP) problem that facilitates the implementation of different concepts to derive different aggregation schemes. We incorporate the data from previous years into the normalization process of the indicators, to take into account the discrepancy on their observed values and smooth their deviations across the years. Also, we consider the public opinion about well-being that is captured from the worldwide responses in the web platform of OECD BLI. We incorporate the public opinion into the assessment models in the form of weight restrictions. In this way, we reduce the effect of compensation that might be imposed by the adopted modelling approach. We apply our methodology to the data of 38 countries (35 OECD and 3 non-OECD economies) for the year 2017. Our findings illustrate that the public opinion in the form of weight restrictions can effectively drive the optimization process and depict the collective preferences to the BLI scores.  相似文献   

2.
This paper provides a composite indicator of well-being for the 33 Colombian departments in the year 2016. The indicator is built by adapting the well-known OECD Better Life Index to the regional level, and includes the dimensions of income, health, education, safety, housing, environment, labour market, and civic engagement and governance. As to the methodology, Data Envelopment Analysis and Multi-Criteria Decision-Making techniques are employed, an approach which enables a comparison of well-being across departments and the construction of rankings. The results yield several take-away messages. First, there are substantial disparities in well-being across Colombian departments. Second, despite the fact that average well-being in Colombia is relatively low, the population is concentrated in the departments with the highest well-being levels. Third, geography matters, as neighbouring departments have similar well-being levels, giving rise to a core-periphery duality. Fourth, well-being generally improves and disparities decline when purely economic dimensions (income and labour market) are excluded from the composite indicator.  相似文献   

3.
In this paper we examine trends in economic well-being in transition countries from 1988 to 2008 to determine whether the populations of transition countries are better off today than prior to the transition process. To do this, we examine economic performance, inequality-adjusted well-being measures, subjective well-being measures, and non-income dimensions of well-being. While for many of the transition countries some indicators of well-being show improvements compared to the pre-transition period, the sharp rise in inequality and low levels of social indicators and subjective well-being suggest that well-being in many countries is similar to, or even below, the levels experienced prior to transition. The only indicators which have shown consistent improvements are measures of political and civil liberties.  相似文献   

4.
This paper introduces the Best-Worst PROMETHEE method, which avoids the rank reversal problem of other PROMETHEE methods. We use this new technique to rank schools in the Programme for International Student Assessment (PISA). We consider three separate outputs, provided by average student attainments in mathematics, language, and sciences. Our sample comprises 16,500 schools in 66 countries, and our results show significant differences between school performance both within and between countries. The top half of the ranking mainly comprises European and Asian countries, while the bottom half includes many North African, Middle Eastern, and South American countries. We find no strong association between inequality between schools and the country-level performance, suggesting the absence of a trade-off between equity and performance in education. The Best-Worst PROMETHEE is a generic method that can be used to support decisions in strategic sectors with multidimensional outcomes.  相似文献   

5.
Applying the TVP-VAR model, we creatively construct multilayer information spillover networks containing return spillover layer, volatility spillover layer and extreme risk spillover layer among 23 countries in the G20 to explore international sovereign risk spillovers. From the perspective of system-level and country-level measures, this article explores the topological structures of static and dynamic multilayer networks. We observe that (i) at the system-level, multilayer measures containing uniqueness edge ratio and average edge overlap show each layer has unique network structures and spillover evolution behavior, especially for dynamic networks. Average connectedness strength shows volatility and extreme risk spillover layers are more sensitive to extreme events. Meanwhile, three layers have highly intertwined and interrelated relations. Notably, their spillovers all show a great upsurge during the crisis (financial and European debt crisis) and the COVID-19 pandemic period. (ii) At the country-level, average overlapping net-strength shows that countries’ roles are different during distinct periods. Multiplex participation coefficient on out-strength indicates we’ll focus on countries with highly heterogeneous connectedness among three layers during the stable period since their underestimated spillovers soar in extreme events or crises. Multilayer networks supply comprehensive information that cannot obtain by single-layer.  相似文献   

6.
《Economic Systems》2020,44(3):100807
Economic insecurity is a key well-being outcome because the anticipation of future economic distress reveals itself as a true threat to current well-being. Insecurity has been shown to affect quality of life and to change an individual’s consumption, fertility, labor supply and even political support decisions to mitigate risk. This paper provides evidence on the dimension, nature and distribution of economic insecurity for 27 European countries during a whole decade by using a multidimensional individual approach that considers both objective and subjective indicators. The young, the less educated and the unemployed living in households with dependent children have significantly higher levels of economic insecurity everywhere. However, insecurity affects the population in the middle class only in some countries but not in others, and the level of insecurity in liberal regimes is more linked to large income losses than elsewhere. The role of objective versus subjective dimensions is larger in post-transition Eastern European regimes than in long-standing capitalist countries.  相似文献   

7.
This paper demonstrates the significance of culture in examining the relationship between income and the environment. Specifically, we examine the relationship among scores on the Environmental Sustainability Index of the World Economic Forum and the four dimensions of national culture proposed and measured by Hofstede (1983). We find that there are significant multidimensional interrelationships among the cultural and environmental sustainability measures. As an important application, we examine the Environmental Kuznets Curve (EKC) phenomenon. Our finding suggests the limited applicability of the EKC notion when cultural variables are included in the model.  相似文献   

8.
The aim of this paper is to explore the extent to which the psychic distance between countries poses challenges to the expatriation process of young multinational companies from emerging countries, such as Brazil. While the concept of psychic distance has been extensively explored in the literature for the analysis of the paths to internationalization of multinational companies, researchers have only recently begun to analyse its influence on expatriation processes. To this end, we reviewed studies of psychic distance and of two fields of expatriation processes that are directly influenced by the challenge of expatriates' cultural integration posed by psychic distance, namely selection and training. We also developed a multidimensional instrument to measure psychic distance and then classified the expats' countries of destination as ‘close’ or ‘distant’ in relation to Brazil. Our results show no predominance of countries that are psychically close to Brazil for the expatriations of professionals from the Brazilian companies studied. When analysing the expats' perceptions of the expatriation process, cultural integration emerged as a great challenge for expats from both ‘close’ and ‘distant’ countries. In spite of this, those companies don't seem to take this into consideration in the management of the selection and training phases of the expatriation process. In addition, we identified some differences between the expatriates and the HR managers' perceptions of the management of expatriation processes that can partially explain the high incidence of problems concerning cultural adaptation that Brazilian companies face as a result of the challenge posed by the psychic distance.  相似文献   

9.
Better international logistics raise a developing country's exports, but the magnitude of the effect depends on the country's size. We apply a gravity model that accounts for firm heterogeneity and multilateral resistance to an international logistics index. A one standard deviation improvement in logistics is equivalent to a 14% reduction in distance. An average‐sized developing country would raise exports by approximately 36%. Most of the countries are much smaller than average, so the typical effect is 8%. This difference is chiefly due to the dampening effect of multilateral resistance, which is more important for small countries.  相似文献   

10.
11.
Prior studies on the link between country-level cultural aspects and firms' arbitrary accounting practices are scant, and they show mixed results. To gain more insight about the impact of national culture on earnings characteristics, we exploit the matching concept between revenues and expenses, which well reflects managerial estimation and discretion in earnings quality. Using a large sample of 57 countries over the period 1989–2012, we find that (1) the economic association between revenues and expenses becomes stronger in firms from collectivistic and high uncertainty-avoidant countries, (2) the impact of these dimensions of national culture on the matching is more salient for firms from countries characterized by a higher level of accrual accounting, a greater proportion of special-items, and limited openness, and (3) the cultural impact on matching is mainly driven by the correlation between revenue and discretionary expense (i.e., selling, general, and administrative expense). These findings are consistent with the view that national culture plays an informal governance role to influence firms' discretionary accounting choices.  相似文献   

12.
The shortage of water resources has become a burning issue constraining China's sustained development with significant differences in water intensity among regions and provinces. Quantifying the driving effect of spatial differences in the country's water intensity is very important to the dual implementation actions of water resources and intensity in each region. Spatial analysis reveals the variations among regions, identifies contributing factors, and helps us to better understand the scope for improvement compared to temporal analysis. This paper constructs a Spatial Index Decomposition Analysis (S-IDA) model based on the conventional IDA model referenced in the literature and divides China into six regions according to The 13th Five-Year Plan of Water-Saving Society Construction. We mainly examine the following four parts. First, the driving factors of the spatial difference of water intensity in the six regions are decomposed into intensity effect and structure effect. Second, we measure three industrial differences of the intensity effect and the structure effect in the six regions. Third, we decompose the drivers of the spatial differences of water intensity for provinces within the six regions into the intensity effect and the structure effect. Fourth, we select the results in 2015 to point out the key task of reducing water intensity in the six regions and in all provinces of those regions. The results underscore that each region should formulate and implement a sound water resource policy with differentiation and relevance according to actual conditions and provide a quantitative basis and support system so that regions can learn from each other about specific water-saving measures. These findings provide an insightful understanding of the spatial difference of water intensity and also a quantifiable justification for making building-specific water resources policies, which are discussed at the end of the study.  相似文献   

13.
Human Development Index (HDI) is a useful tool for policy makers to understand the degree of development in their societies and set new policies to improve it. Traditionally, the United Nations Development Program (UNDP) releases HDI scores of countries based on the three key dimensions of healthy life, population education and standards of living annually. However, HDI scores have some deficiencies such as methodology, indexes selection and measures time lag. In this paper, a new approach is proposed to calculate semi-HDI scores. First, in each dimension of health, education and standard of living, new and extra criteria are selected. Then, policy makers' preferences are considered to assign the weights of criteria in each dimension using best worst method (BWM). Then, MULTIMOORA method is applied to rank provinces of Iran in each dimension. Finally, the semi-HDI scores of provinces are calculated based on geometric mean of healthy life, population education and living standards. According to the semi-HDI scores, Kohgiluyeh & Boyer- Ahmad and Sistan & Baluchestan provinces are the most and the least developed provinces of Iran, respectively.  相似文献   

14.
Building on the organizational learning theory and international expansion process model, this paper examines the effect of time-based experience on multidimensional performance including return on equity, sales growth, competitive position, and asset efficiency of foreign-invested enterprises (FIEs) in an emerging economy (the People's Republic of China). The analysis, based on a recent survey of FIEs in China, demonstrates that time-based experience has a significantly positive effect on overall and individual dimensions of performance of FIEs. The underlying link between time-based experience and multidimensional performance is, however, moderated by the cultural distance between the host and home countries. Moreover, time-based experience moderates the positive impact of resource contributions, market commitment, and strategic innovativeness on venture performance.  相似文献   

15.
《Economic Systems》2020,44(1):100736
This paper investigates the contemporaneous effect of conflict on civilians living outside of the conflict zone. Applying a multi-dimensional concept of well-being, it uses two large household surveys over 2012–2016 to analyze how the Russian-Ukrainian hybrid war affected the financial well-being and health of people in both countries. We find that the conflict significantly worsened financial well-being in both countries. The impact mostly operates by worsening expectations about financial well-being and is inversely related to the distance from the conflict zone. Our analysis indicates an increase in chronic diseases in Ukraine over a longer period. Mental health is negatively impacted in both countries at the earlier stages of the conflict. However, in Russia this effect is significant only in the region bordering the conflict zone, while in Ukraine it is significant in regions farther away from the conflict zone.  相似文献   

16.
SUMMARY

We address the question of competition within the location choices of firms. In a framework of agglomeration effects, both spatial and temporal dimensions of the firms' decisions are studied. We show that the competition consequences of preemptive move and optimal time of entry can interfere with the geographical decisions. Our results contrast with those of agglomeration economics models which generally provide extreme results of mono-location. The equilibria described here tend to demonstrate that the relation between competition strength and spatial differentiation remains pertinent in a context of agglomeration economies. A conditional logit empirical study analyses the geographical choice of Japanese firms in Europe. Agglomeration variables, public policies and labour market determinants are tested, highlighting the existence of temporal and spatial proximity in the behaviour of firms. The competition conditions experienced by firms of each specific sector also appear to be important in the location decision of Japanese investors.  相似文献   

17.
This study investigates the impact of country‐level environmental performance and national culture on the stock price crash risk of renewable energy firms. Employing a large sample of 626 renewable energy firms across 31 countries, we find a significant nonlinear relationship between country‐level environmental performance and crash risk. National culture dimensions are found to strongly predict the crash risk of renewable energy firms, particularly after the global financial crisis. On the contrary, national culture dimensions and environmental policies are observed to not exert any significance in explaining the crash risk of fossil fuel firms. Our results are robust with respect to alternative measures of stock price crash risk and the endogeneity of national culture dimensions. Overall, the findings of this paper contribute to the environmental economics literature by providing new evidence regarding the role of societal and environmental factors in explaining the stock price crash risk of energy firms.  相似文献   

18.
Studies on the impact of high-performance work systems on employees' well-being are emerging but the underlying theory remains weak. This paper attempts to develop theory of the effects on well-being of four dimensions of high-performance work systems: enriched jobs, high involvement management, employee voice, and motivational supports. Hypothesized associations are tested using multilevel models and data from Britain's Workplace Employment Relations Survey of 2004 (WERS2004). Results show that enriched jobs are positively associated with both measures of well-being: job satisfaction and anxiety–contentment. Voice is positively associated with job satisfaction, and motivational supports with neither measure. The results for high involvement management are not as predicted because it increases anxiety and is independent of job satisfaction.  相似文献   

19.
This research explores the effects of national culture, as understood by Hofstede's concepts of power distance, individualist/collectivist and uncertainty avoidance. The study is based on case studies of ERP implementation in Colombia and Switzerland and interviews and document analysis methods were employed. Evidence is found on the ways the three dimensions impact on ERP implementation. It is concluded that although the two countries differ markedly in each dimension, there was no evidence of specific individualist/collectivist effects. The implications of this are discussed.  相似文献   

20.
In order to remedy the possible loss of strategic interaction in non-atomic games with a societal choice, this study proposes a refinement of Nash equilibrium, strategic equilibrium. Given a non-atomic game, its perturbed game is one in which every player believes that he alone has a small, but positive, impact on the societal choice; and a distribution is a strategic equilibrium if it is a limit point of a sequence of Nash equilibrium distributions of games in which each player’s belief about his impact on the societal choice goes to zero. After proving the existence of strategic equilibria, we show that all of them must be Nash. We also show that all regular equilibria of smooth non-atomic games are strategic. Moreover, it is displayed that in many economic applications, the set of strategic equilibria coincides with that of Nash equilibria of large finite games.  相似文献   

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