New economic geography: Thirty years later

E. Zakharova, D. Davydov, E. Zemtsova
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引用次数: 1

Abstract

In the past three decades, many analytical and quantitative models have been developed that seek to explain the inequalities in the spatial distribution of wealth and people, from international and regional to urban. We show that a number of theoretical and empirical works have shaped the New Economic Geography, whose framework is defined by general equilibrium models, heterogeneity, and microeconomic data of quantitative models. Early theoretical work focused on stylized analytical models that made empirical research difficult. The transition to empirical research required a revision of the canonical assumptions that are used in the basic models. Quantitative models focus mainly on applied issues of spatial economics with significant public policy implications. Quantitative models validate the results of analytical models using classic micro-foundations borrowed from urban and transport economies. The challenge for the New Economic Geography is an interdisciplinary dialogue with institutional economics, economic sociology, and endogenous growth theory to explore the problems of institutional heterogeneity and inequality of opportunity. In fact, we can talk about the fusion of disciplines, which will allow us to apply the provisions of the New Economic Geography to the analysis of historical, geographical and other modes of functioning of institutions.
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新经济地理学:三十年后
在过去的三十年中,已经开发了许多分析和定量模型,试图解释从国际和区域到城市的财富和人口空间分布的不平等。新经济地理学的框架由一般均衡模型、异质性和定量模型的微观经济数据来定义。早期的理论工作集中在程式化的分析模型上,这使得实证研究变得困难。向实证研究的过渡需要对基本模型中使用的规范假设进行修订。定量模型主要关注具有重大公共政策影响的空间经济学应用问题。定量模型验证了从城市和交通经济中借鉴的经典微观基础的分析模型的结果。新经济地理学面临的挑战是与制度经济学、经济社会学和内生增长理论进行跨学科对话,探讨制度异质性和机会不平等问题。事实上,我们可以谈论学科的融合,这将使我们能够将新经济地理学的规定应用于对制度的历史、地理和其他功能模式的分析。
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来源期刊
CiteScore
1.30
自引率
20.00%
发文量
9
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