Spatial Aspects Of Unemployment In The Visegrad-Group Economies

T. Formánek, Roman Hušek
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Abstract

Abstract Purpose of the article: Most regional macroeconomic processes may not be adequately analyzed without accounting for their spatial nature: regional distances, interactions between neighbors, spill-over effects and interdependencies. This contribution focuses on various factors ruling unemployment dynamics in the Visegrad Group countries and their major economic partners: Germany and Austria. The analysis is performed at the NUTS2 level. Methodology/methods: Spatial econometrics is a unique tool for a broad range of quantitative analyses and evaluations. Spatial econometric models are based on geo-coded (spatially defined) data. Spatial econometrics and regional competitiveness paradigms are combined into different types of regression model specifications describing unemployment dynamics. Alternative spatial structures (i.e. neighbor definitions) are used for verification of stability in estimated model properties. Scientific aim: We aim to provide a detailed empirical evaluation of spatially determined factors of regional unemployment dynamics, along with insight into the robustness of such approach. Both conceptually and parametrically varying neighbor definitions are used to provide evidence for model evaluation. Findings: We find strong positive spatial dependence patterns in the estimated models, robust against varying neighborhood definitions. Our results strongly support the importance of regional and potentially cross-border (international) cooperation in macroeconomic policies addressing unemployment. The estimated models also underline the importance of using spatial models, by pointing out the bias in OLS-estimated models. Conclusions and limits: Spatial approach to econometric analysis provides important insight and robustness to a broad range of unemployment analyses that may be carried out using regional (spatial) data. At the same time, it should be noted that this article focuses mostly on the spatial and stability aspects of model estimation, while leaving out other interesting topics such as spill-over effects calculations as based on estimated models. Also, estimations provided in this article might benefit from spatial panel data-based methods - once data availability issues are sorted.
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维谢格拉集团经济中失业的空间方面
文章的目的:如果不考虑其空间性质:区域距离、邻国之间的相互作用、溢出效应和相互依赖性,大多数区域宏观经济过程可能无法得到充分分析。这篇文章的重点是影响维谢格拉德集团国家及其主要经济伙伴德国和奥地利失业动态的各种因素。分析在NUTS2水平上进行。方法论/方法:空间计量经济学是广泛的定量分析和评估的独特工具。空间计量经济模型基于地理编码(空间定义)数据。空间计量经济学和区域竞争力范式结合成描述失业动态的不同类型的回归模型规范。替代空间结构(即邻居定义)用于验证估计模型属性的稳定性。科学目标:我们的目标是对区域失业动态的空间决定因素进行详细的实证评估,并深入了解这种方法的稳健性。概念和参数变化的邻居定义被用来为模型评估提供证据。研究结果:我们发现在估计模型中存在强烈的正空间依赖模式,对不同的邻里定义具有鲁棒性。我们的研究结果有力地支持了区域和潜在的跨境(国际)合作在解决失业问题的宏观经济政策中的重要性。估算模型还通过指出ols估算模型的偏差,强调了使用空间模型的重要性。结论和限制:计量经济学分析的空间方法为可能使用区域(空间)数据进行的广泛失业分析提供了重要的见解和稳健性。同时,应该注意的是,本文主要关注模型估计的空间和稳定性方面,而忽略了其他有趣的主题,例如基于估计模型的溢出效应计算。此外,本文中提供的估计可能受益于基于空间面板数据的方法——一旦对数据可用性问题进行了排序。
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