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For a decade from 2000, Indonesia underwent a natural-resource export boom. Aggregate income rose, but real labour earnings stagnated. Employment rose, too, but mainly in low-skill sectors with predominantly informal employment arrangements. In this article, we reveal causal connections from the aggregate phenomenon of Dutch disease to these labour-market outcomes. We first explain broad sectoral trends, and then, integrating data from several national surveys, investigate sources of variation in boom-era labour earnings. We use instrumental variables to address issues of endogeneity and selection in earnings equations. After controlling for individual and district features, we find that the intensity of palm oil production—palm oil having been a key booming resource export—robustly predicts diminished formal employment, and that lower formality, in turn, robustly predicts lower earnings. Our findings establish causal linkages absent from prior studies, and so provide a structural dimension to ongoing debates over persistent poverty, rising inequality, and the lack of educational progress in Indonesia.  相似文献   

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Abstract

During his first presidential term, Joko Widodo increased expenditure on, and the coverage of, several social protection policies, including the conditional cash transfer program. These policies began in the aftermath of the 1997–98 Asian financial crisis and have proliferated in recent years. This Survey will examine these policies, paying particular attention to implementation problems, including effective targeting through the construction of a unified database. It will also examine both food policy and broader health policy issues. It is widely agreed that health problems, such as those relating to early childhood development, must be addressed in Indonesia in a wider context, including through the provision of clean water and sanitation facilities, food security, and social assistance. The Survey will also examine recent discussions of trends in inequality and poverty, several of which claim that inequality has been increasing. Using recent figures published by Statistics Indonesia, it is argued that expenditure inequality has in fact been trending downward in recent years.  相似文献   

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Even though Indonesia's CO2 emissions are dominated by deforestation while China's are dominated by industry, Indonesia has much to learn from China's industrial energy saving programs. To begin with, it is only a matter of time before Indonesia's emissions from fossil fuels overtake those from deforestation. Given the long technological lock-in effects of energy systems and industries, Indonesia needs to think now about how it will tackle this problem. There are other reasons for believing that Indonesia might learn something from China – the CO2 intensities of GDP, of industry and of cement production have been rising in Indonesia, while they are falling in China. China's better intensity performance is due to policies that Indonesia would do well to follow – adopting a technological catch-up industrial development strategy; raising energy prices to scarcity values; liberalising domestic markets and opening the economy to trade and investment; and mounting a massive energy saving program.  相似文献   

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Brett House 《De Economist》2000,148(2):167-203
Several empirical studies indicate that there is a positive relationship between openness to international trade and growth. Lucas (1988) argues that this relationship poses a paradox for neo-classical theory because trade liberalisation produces only limited level effects, not long-run growth effects, in neo-classical growth models. This paper attempts to resolve Lucas paradox by adding production sectors to the basic one-sector Solow model. This paper demonstrates that these multi-sector models are consistent with the empirical links between openness and growth. These models also blur the traditional distinctions between exogenous and endogenous growth theory. As a result, they substantially complicate the task of discriminating between exogenous and endogenous growth episodes in empirical data.  相似文献   

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Democratisation has fundamentally changed the formal institutional structure of Indonesian politics, but a wealth of contemporary research has demonstrated that the informal mechanisms of power and influence have survived the transition. This article uses a unique, hand-collected dataset of information on Indonesian public figures to empirically catalogue the changes and continuities in Indonesian politics since democratisation. Our results provide quantitative evidence of a substantial shift in Indonesia’s political economy over the last decade and a half: the simultaneous rise of the private sector and decline of the military and the state as avenues to political influence at the national level. Our evidence also suggests that the origins of this shift pre-date democratisation itself.  相似文献   

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《World development》1999,27(4):691-704
—The neoliberal interpretation of the Indonesian state suggests that industrial policy was incoherent, subject to rent-seeking, and irrelevant to Indonesia's post-1966 development success. A more nuanced micro-historical analysis of the state's interventions demonstrates that this oversimplification misses political elite objectives to overcome the “ekonomi kolonial” by using the power of the state and selective intervention to create a strong, integrated, diversified, and outward-oriented industrial economy (“ekonomi nasional”). Empirical analysis presented here suggests that Indonesia has largely achieved this objective. It also suggests that industrial policy has been more important than the neoliberal argument permits.  相似文献   

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Indonesia’s economic growth over the past three years has been stuck at approximately 5% annually, despite a changing global environment and the Indonesian government’s efforts to boost growth. This paper asks whether this level of growth is a new normal for Indonesia—i.e. do government efforts and the global environment matter, or will the country’s economic growth remain at around 5% annually. If private consumption, the major component of GDP, continues to grow at its current level and inflation is controlled, this paper concludes that Indonesia might maintain its current annual growth rate of 5% for several more years. The probability of higher growth, however, is not promising. Lower growth seems more likely. To ensure the current level of economic growth will be sustained in the foreseeable future, this paper recommends stricter economic reforms to allow larger and more productive capital investments; more aggressive management of exchange rates to improve the country’s competitiveness; a more effective fiscal space to support improvements to needed infrastructure by developing innovation to increase revenue; a reduced energy subsidy; and a more flexible upper bound of deficit. Effective programs to improve the country’s human capital and innovation are crucial.  相似文献   

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《World development》2003,31(7):1291-1307
The calorie–income demand elasticity is an important parameter in the development literature and in the policy arena. Yet, there is very little evidence on the extent to which it can be considered as an unchanging parameter or a time-shifting parameter that, for example, changes with the economic conditions faced by households. In this paper I use data from the 1996 and 1999 SUSENAS surveys in Indonesia to examine whether the relationship between income changes and caloric availability has changed and if so, how. Using the same questionnaire, the SUSENAS surveys collect detailed information on more than 200 different food items consumed over the last seven days by 60,000 households at the same point in time in each survey year. I use nonparametric as well as regression methods to examine two important relationships: (a) the relationship between income and total calories; and (2) the relationship between income and calories from cereals and other foods (excluding cereals and root crops). The empirical analysis finds that the income elasticity of the demand for total calories is slightly higher in February 1999 (the crisis year with dramatically different relative prices) compared to its level in February 1996. In addition, the calorie–income elasticity for cereals as a group increases while the calorie–income elasticity for other food items decreases. The latter finding is interpreted as behavior that is consistent with the presence of a binding subsistence constraint.  相似文献   

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This paper endeavours to find out in how far public export insurance schemes foster international trade. Thereto, a gravity equation is derived, which accounts for the risk of financial losses in case firms contract defaulting foreign buyers. Empirical results suggest that OECD countries issuing trade credits with generous state-guarantees did not, during the 1999 to 2005 period, witness more exports towards politically and commercially more unstable low-income countries. Rather, publicly indemnified trade finance has promoted exports, to a modest degree, towards high and middle-income countries, where financial intermediaries and markets provide viable alternatives to hedge against payment risks.  相似文献   

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This paper examines the role of trade openness and capital account openness in influencing financial development in Malaysia. The empirical findings using the bounds testing approach demonstrate that trade openness and capital account openness are positively significant determinants of financial development. However, there is no empirical support of the hypothesis that the simultaneous opening of both trade and capital accounts is necessary for financial development to take place. The evidence is valid for three banking sector development and two stock market development indicators.  相似文献   

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This study seeks new empirical evidence of the Phillips curve in Indonesia, an emerging and geographically diversified economy. There are three important contributions from this research. First, applying panel econometric method to exploit regional variation, the study resolves the issue of using on-target national inflation rates that potentially causes weakening inflation-output link. Second, the research examines the relevance of mining industry for output gap measurement at regional level. Third, it highlights the differences in the Phillips curve between the west and east regions owing to their different underlying economic structures. Our estimation using regional data support the validity of the Phillips curve relationship in Indonesia. Backward-looking inflation expectations, exchange rate dynamics and international prices also significantly affect inflation. In addition, the effect of output gap on inflation is larger if the mining sector is excluded from output gap measurement. Finally, we find apparent differences between the west and the eastern regions in the slope of Phillips curve, as well as in the degree of inflation persistence and exchange rate pass-through. The results are robust to alternative specification. Our study adds significantly to the empirical literature on the Phillips curve and have meaningful policy implications.  相似文献   

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