Functional Distribution of Income and Economic Activity in Croatia: Post-Keynesian Approach

Boris Vujčič, Milan Deskar-Škrbić, Zvonimir Ratkovski, Jurica Zrnc
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引用次数: 4

Abstract

The aim of this paper is to quantify the effects of changes in functional income distribution on selected macroeconomic variables in Croatia in period from 2000-2012. We use structural VAR approach with identification scheme based on a priori restrictions that are derived from theoretical framework of Post-Keynesian macroeconomic model. Our main hypothesis, which is confirmed in the empirical analysis, is that the accumulation of capital in Croatia was primarily determined by income from labor, i.e. that Croatia had wage-led accumulation. We also found that labor market dynamics was dominantly influenced by demand side shocks and that positive effects of the rise in exports, resulting from the gain in competitiveness (after reducing wage share in income) outweigh negative effects of weaker demand on the capacity utilization. So in our opinion export share increase should become policy priority, as domestic demand is currently constrained by high private and public debt levels. To the extent that increase in exports might require decline in the relative share of labor, negative impact on the investments in non-tradable sector would need to be offset with higher investments in tradable sector of Croatian economy.
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克罗地亚收入和经济活动的功能分配:后凯恩斯方法
本文的目的是量化2000-2012年期间克罗地亚功能性收入分配变化对选定宏观经济变量的影响。我们使用结构VAR方法和基于先验限制的识别方案,这些限制来自后凯恩斯宏观经济模型的理论框架。我们的主要假设是,克罗地亚的资本积累主要是由劳动收入决定的,即克罗地亚是工资主导的积累,这在实证分析中得到了证实。我们还发现,劳动力市场动态主要受到需求侧冲击的影响,而出口增长的积极影响(在降低工资占收入的比例后)超过了需求减弱对产能利用率的负面影响。因此,我们认为,增加出口份额应成为政策重点,因为目前国内需求受到高企的私人和公共债务水平的制约。如果增加出口可能需要减少劳动的相对份额,那么就需要用增加克罗地亚经济中可贸易部门的投资来抵消对非贸易部门投资的负面影响。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
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