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This paper employs cointegration and multicointegration analysis to explore the issue of external solvency in the small open economy of Australia. Results indicate that in the fixed exchangerate era exports and imports are multicointegrated while in the more recent floating exchange-rate period the series do not share a conventional long-run equilibrium relationship. The results are consistent with intertemporal external solvency in the early period and insolvency more recently. Sustainability criteria are reviewed. Indications are that low saving and investment rates may inhibit Australia's abiliry to sustain persistent external imbalances, however, recent fiscal adjustments may work to abate this problem.  相似文献   
664.
Data from the Longitudinal Surveys of Australian Youth are used to investigate factors that influence young Australians' self-reported levels of 'happiness' during the school-to-work transition, focusing on the role of labour market experience. Panel logit models are fitted to control for individual effects. Fixed individual personality traits and marital status strongly influence reported happiness. There is evidence of declining well-being with duration of unemployment and of the importance of job quality, rather than just having a job. The validity of Clark and Oswald's (1994) assertion that empirical findings from happiness research show that unemployment is involuntary is questioned.  相似文献   
665.
The AARF's Monograph 10 "Measurement in Financial Accounting" maintains the impetus built up over recent years through the foundation's inquiries into the nature and processes of published financial reports. This commentary concentrates upon two major aspects of financial reporting that are not fully addressed in the Monograph. The first is the general lesson that transaction cost economics offers to those who rely on cuwent market values in preparing accounts for publication. The second is the need for standard-setters to agree on a workable definition of financial performance, since the income statement is more likely than the balance sheet to offer information needed for making useful predictions.  相似文献   
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"Home-country effects" on multinational companies' practices abroad are assessed by comparing twelve German- and U.S.-owned plants within the same sector in the "institutionally permissive" Poland, Hungary, and Slovenia. Differences are detected on functional flexibility, corporate culture and working time, but not on participation. Work organization seems more integral to national productive models than industrial relations. Moreover, considerable intramodel variation reflects product- and labor-market contingencies. The results support the interpretation of national models as internally heterogeneous and dynamic.  相似文献   
669.
The objective of this paper is to examine the off‐site benefits, as capitalized into housing values, of protecting 1.6 million acres of Inventoried Roadless Areas (IRAs) in the state of New Mexico, United States. In light of petitions filed by various U.S. states to maintain the status of IRAs as roadless lands, spatial hedonic price models are estimated and used to calculate the implicit value of IRAs in New Mexico. Findings show that a two‐stage least squares (2‐SLS), robust spatial‐lag model is the most appropriate econometric representation of the hedonic price function, and that IRA lands are a significant and positive determinant of house value. After controlling for the presence of Wilderness Areas (WAs) and other characteristics, results indicate that, on average, there is a 5.6% gain in the property value of a house from being located in, or adjacent to, a Census tract with IRAs. In the aggregate, this gain represents 3.5% of the value of all owner‐occupied units in New Mexico ($1.9 billion in capitalized value, or an annualized value in perpetuity of $95 million, assuming a 5% interest rate). (JEL R22, H40, Q51, C21)  相似文献   
670.
This paper characterizes the complete class of time-invariant portfolio insurance strategies and derives the corresponding value functions that relate the wealth accumulated under the strategy to the value of the underlying insured portfolio. Time-invariant strategies are shown to correspond to the long-run policies for a broad class of portfolio insurance payoff functions.  相似文献   
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