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Policy Review: Is Inequality a Policy Choice? 政策评论:不平等是一种政策选择吗?
Pub Date : 2018-03-18 DOI: 10.1453/JEPE.V5I1.1491
D. Mamoon
The paper is a short literature review that suggests that trade policy as opposed to general measures of openness does correlate with inequality. The review suggests that developing countries are not ready to fully integrate with global trade because significant segments of populations are unskilled whereas global trade patterns benefit only skilled or semi-skilled.
这篇论文是一篇简短的文献综述,表明贸易政策与一般的开放措施确实与不平等有关。审查表明,发展中国家还没有准备好完全融入全球贸易,因为很大一部分人口没有技能,而全球贸易模式只使熟练或半熟练的人受益。
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引用次数: 0
Supply-side economics and the 2017 Tax Act 供给侧经济学和2017年税法
Pub Date : 2018-03-18 DOI: 10.1453/jepe.v5i1.1556
Clark V. Johnson
Abstract. Abstract. Several of the designers of the 2017 Tax Act were prominent as ‘supply side‛ advocates at the time of Reagan tax cuts during the 1980s. The economic argument for supply side tax rate reductions drew on a policy mix framework developed by Robert Mundell as early as 1962. Within that framework, the easy fiscal/ tight monetary policy solution was intended for circumstances of either pressure on reserves or the exchange rate (as during the Kennedy Administration) or of serious domestic inflation (as under the Carter and Reagan Administrations). Tax cuts in the US since the 1980s have not had the intended stimulus effects because neither the currency weakness nor inflationary preconditions have existed. Absent such conditions, tax rate reductions will generate either domestic over-heating or a redistribution of income to those in higher brackets. Any argument in favor of the 2017 Tax Act should not fall back on Mundell’s policy mix advocacy. In contrast, the case for an easy fiscal/ tight money policy may have unexpected force in situations of fixed exchange rates, or where domestic monetary policy options are otherwise constrained or absent – as in Eurozone periphery countries. Keywords. Supply side economics, Robert Mundell, Policy Mix classifications, 2017 Tax Act, Eurozone macroeconomics. JEL. B30, E30, E50, E60, F20.
摘要摘要在上世纪80年代里根减税时期,2017年税法的几位设计者都是“供给侧”的倡导者。供给侧降低税率的经济学论据借鉴了罗伯特·蒙代尔早在1962年就提出的一个政策组合框架。在这一框架下,宽松的财政/紧缩的货币政策解决方案是针对储备或汇率压力(如肯尼迪政府时期)或严重的国内通货膨胀(如卡特和里根政府时期)的情况。自上世纪80年代以来,美国的减税措施并未产生预期的刺激效果,因为货币疲软和通胀前提都不存在。如果没有这些条件,减税要么会导致国内经济过热,要么会导致收入向高收入阶层再分配。任何支持2017年税法的论点都不应该依赖于蒙代尔的政策组合倡导。相比之下,宽松的财政/紧缩的货币政策可能会在固定汇率的情况下产生意想不到的力量,或者在国内货币政策选择受到限制或缺乏的情况下——比如欧元区外围国家。关键词。供给侧经济学,罗伯特·蒙代尔,政策组合分类,2017年税法,欧元区宏观经济学。冻胶。B30 e30 e50 e60 f20
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引用次数: 1
Did Harvard barometers allow for the prediction of the 1929 Stock market crash 哈佛晴雨表能预测1929年的股市崩盘吗
Pub Date : 2018-03-18 DOI: 10.1453/jepe.v5i1.1560
Ignacio Escañuela Romana
The Harvard barometers were an attempt to analyse and predict the business cycles, which took place in the 1920s. An initiative from the Harvard Economic Service (HES), it was one of the first and more important instrument used to try to understand the sequence in the economic fluctuations. This paper reconsiders the accepted position about the Harvard barometers, that using them it was impossible to predict the 1929 Depression. I arrive at a different conclusion. Based on the data from the ABC curves in August 1929, and with an available econometric methodology at that time, it would have been possible to forecast the fall in speculation, as defined in the curve A, whereas the fall in business (B), and in monetary and credit conditions (C) were unpredictable. The stock market crash could have been anticipated. The HES stated that curve A precedes B, and then C. This is not detected. This paper makes use of the harmonic analysis by breaking down series in sinusoidal curves. Taking into account this prediction, this work analyses if aggregation was the factor producing the perceived regularities. The conclusion is negative: aggregation did not produce those cycles, they were in the original data.
哈佛晴雨表试图分析和预测20世纪20年代发生的商业周期。这是哈佛经济服务处(HES)的一项倡议,是用来试图理解经济波动顺序的第一个也是更重要的工具之一。本文重新考虑了关于哈佛晴雨表的公认立场,即使用哈佛晴雨表是不可能预测1929年大萧条的。我得出了不同的结论。根据1929年8月ABC曲线的数据,并使用当时可用的计量经济学方法,可以预测曲线A中定义的投机活动的下降,而商业(B)和货币和信贷条件(C)的下降是不可预测的。股市崩盘是可以预料到的。HES表示曲线A在B之前,然后是c。这没有检测到。本文利用正弦曲线的分级数法进行谐波分析。考虑到这一预测,本工作分析了聚合是否是产生感知规律的因素。结论是否定的:聚合并没有产生这些循环,它们存在于原始数据中。
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引用次数: 0
Bounds Test Cointegration Approach to Examine Factors Contributing to Declining Maternal Mortality Ratio in Sudan (1969-2015) 边界检验协整方法研究苏丹孕产妇死亡率下降的影响因素(1969-2015)
Pub Date : 2018-03-03 DOI: 10.1453/JEPE.V5I2.1642
Elwasila S. E. Mohamed
Abstract Unlike other studies in the field of maternal health, the objective of this study is to examine the contribution of some socioeconomic, demographic and health care factors to the declining trend of maternal mortality ratio MMR in Sudan over the period 1969-2015. The study employs econometric techniques including the OLS, Cointegration methods of Johansen and autoregressive distributed lag ARDL bounds tests and Granger causality analysis. The OLS shows that economic growth measured by GDP has significant bad affect on MRR but it has more significant good effect when measured by GDP per capita GDPP. Declining fertility rates lead to declines in MMR. Health expenditure has no effect on MMR. The ARDL bounds test shows existence of a long-run equilibrium relationship between MMR and its explanatory variables. In both the short run and long run, declines in MMR are explained by GDPP and fertility but badly affected by GDP. In contrast, health care factors have no effects on MMR. Granger causality test shows a unidirectional relationship running from economic growth measured by GDP and GDPP to MMR with no sign of feedback effect. Bidirectional relationships between MMR and fertility rate, MMR and health expenditure, as well as between MMR and the number of physicians per 100,000 people have been established. The study recommends that the government should ensure stable and inclusive economic growth. There is a need to increase resources to maternal and reproductive health with emphasis on the number of physicians per 100,000 people in order to move forward to the SDGs.
与孕产妇健康领域的其他研究不同,本研究的目的是研究1969-2015年期间苏丹孕产妇死亡率MMR下降趋势中一些社会经济、人口和卫生保健因素的贡献。本研究采用计量经济学技术,包括OLS、Johansen协整法、自回归分布滞后ARDL界检验和格兰杰因果分析。OLS表明,以GDP衡量的经济增长对MRR有显著的负面影响,而以人均GDP衡量的经济增长对MRR有更显著的正向影响。生育率下降导致孕产妇死亡率下降。卫生支出对MMR没有影响。ARDL边界检验表明MMR与其解释变量之间存在长期均衡关系。从短期和长期来看,MMR的下降可以用GDP和生育率来解释,但受到GDP的严重影响。相比之下,卫生保健因素对产妇死亡率没有影响。格兰杰因果检验表明,以GDP和GDPP衡量的经济增长与MMR之间存在单向关系,没有反馈效应的迹象。已经确定了产妇死亡率与生育率、产妇死亡率与保健支出以及产妇死亡率与每100 000人的医生人数之间的双向关系。该研究建议,政府应确保稳定和包容性的经济增长。有必要增加用于孕产妇和生殖健康的资源,重点是每10万人中医生的人数,以便向可持续发展目标迈进。
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引用次数: 2
A Monetary Conditions Index and its Application on Tunisian Economic Forecasting 货币状况指数及其在突尼斯经济预测中的应用
Pub Date : 2018-01-04 DOI: 10.1453/JEPE.V5I1.1585
Ali Mna, Moheddine Younsi
The main purpose of this article is to find out the extent of the influence of internal and external monetary conditions on Tunisian macroeconomic aggregates by constructing a synthetic index. Our contribution is, firstly, to calculate the weights assigned to domestic interest rate and the exchange rate based on the estimated coefficients respectively for these two indicators over the period 1965-2015. Secondly, based on the VAR model, we confirm the long-run dynamic between the selected variables. The analysis of shocks indicates that monetary conditions have a particular importance via their influence on economic activity and inflation. The latter is characterized by its significant negative impact on economic growth and by its contribution in linking between internal and external interest rates. Thirdly, we attempt, through a SVAR model, to examine the short run structural dynamics between the selected variables. Results reveal that the Tunisian economy is highly influenced by external monetary conditions. This influence is demonstrated through the dynamics of structural monetary policy shocks and exchange rate. In conclusion, our findings reflect that the exchange rate plays an increasing role in transmitting the monetary policy effect to the inflation rate and thus the real economy.
本文的主要目的是通过构建一个综合指数来找出内部和外部货币条件对突尼斯宏观经济总量的影响程度。我们的贡献是,首先,根据1965-2015年期间国内利率和汇率这两个指标的估计系数分别计算了它们的权重。其次,在VAR模型的基础上,确定了所选变量之间的长期动态关系。对冲击的分析表明,货币状况对经济活动和通货膨胀的影响特别重要。后者的特点是对经济增长产生重大的负面影响,并有助于将内部和外部利率联系起来。第三,我们尝试通过SVAR模型来检验所选变量之间的短期结构动态。结果表明,突尼斯经济受到外部货币条件的高度影响。这种影响通过结构性货币政策冲击和汇率的动态表现出来。综上所述,我们的研究结果反映了汇率在将货币政策效应传递给通货膨胀率从而传递给实体经济方面发挥着越来越大的作用。
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引用次数: 0
Markup estimate of industrial branches in Morocco 摩洛哥工业分支的加价估计
Pub Date : 2018-01-03 DOI: 10.1453/JEPE.V4I4.1537
Sanae El Ouahabi, A. Bousselhami
Abstract. In this paper, we will present an estimate of the intensity of competition in the different branches of the Moroccan industrial sector, in order to identify the branches that will be the subject of pro-competitive structural reforms, with the aim of strengthening the economic activity and job creation. For each industry, the intensity of competition is evaluated using the estimated margin factor (or markup) estimated from the method proposed by Roeger (1995). The econometric results obtained show that the relatively high margin factor in the "agrifood" and "chemical and parachemical" branches suggests that these industries are not very competitive over the 1985-2015 period.  On the other hand, the branches of "mechanical, metallic and electrical" and "extractive" industries that have significantly lower markup rates compared to other industries appear to be more competitive. The estimate of margin factors over different periods will allow us to assess the evolution over time of the degree of competition in each of the branches studied. Thus, the estimate of markup rates during the period 1985-1999 remains unclear (the margin factor is significantly lower than 1), hence we need additional information to determine the degree of concentration of industrial branches. For the period 2000-2015, the "extractive", "chemical and parachemical" and "agro-food" branches are less competitive, while the "mechanical, metal and electrical" industries appear to be more competitive. Keywords. Morocco, Industrial sector, Industrial branches, Markup, Competition. JEL. L22, L25, L60, L71, O14.
摘要在本文中,我们将对摩洛哥工业部门不同部门的竞争强度进行估计,以便确定哪些部门将成为促进竞争的结构改革的主题,目的是加强经济活动和创造就业机会。对于每个行业,利用Roeger(1995)提出的方法估计的利润率因子(或加价)来评估竞争强度。得到的计量结果表明,“农产品”和“化工和化工”部门的利润率系数相对较高,表明这些行业在1985-2015年期间竞争力不强。另一方面,与其他行业相比,“机械、金属和电气”和“采掘”行业的加成率明显较低,似乎更具竞争力。对不同时期的利润率因素的估计将使我们能够评估所研究的每个分支机构的竞争程度随时间的演变。因此,1985-1999年期间的加成率估计仍然不清楚(边际系数明显低于1),因此我们需要额外的信息来确定工业部门的集中程度。2000年至2015年期间,“采掘”、“化学和化工”和“农用食品”行业的竞争力较弱,而“机械、金属和电气”行业的竞争力似乎更强。关键词。摩洛哥,工业部门,工业分支,加价,竞争。冻胶。L22 l25 l60 l71 o14。
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引用次数: 0
Public revenue, fiscal deficit and economic growth: Evidence from Asian countries 公共收入、财政赤字和经济增长:来自亚洲国家的证据
Pub Date : 2017-12-28 DOI: 10.1453/JEPE.V4I4.1482
Jeeban Amgain, Nanda Kumar Dhakal
This paper examines the impact of public revenue and fiscal deficit on economic growth in 20 Asian Countries. We use panel Autoregressive Distributed Lag Model (ARDL) to estimate both the short-run and long-run impact of the fiscal variables. The results indicate that fiscal deficit adversely affect growth both in short-run and long-run. In the long-run, deficit finance leads to debt accumulation which is also negatively associated with growth. However, panel ARDL results show that revenue is positively associated with growth in the long-run. In absence of fiscal deficit, public revenue influences positively on growth in the long-run. The impact of revenue in the short-run is not significant. The findings have important policy implication in fiscal sector reform. As the developing countries in Asia are more dependent on fiscal deficit, special care has to be taken in raising public revenue to ensure desirable results. The research suggests that in the case of Asian countries where revenue level is already low and deficit is persistent, raising revenue would reduce the debt level, contributing to higher growth.
本文考察了20个亚洲国家公共收入和财政赤字对经济增长的影响。我们使用面板自回归分布滞后模型(ARDL)来估计财政变量的短期和长期影响。结果表明,财政赤字在短期和长期都对经济增长产生不利影响。从长期来看,赤字财政导致债务积累,这也与经济增长呈负相关。然而,面板ARDL结果显示,从长期来看,收入与增长呈正相关。在没有财政赤字的情况下,公共收入对经济增长的长期影响是积极的。收入在短期内的影响并不显著。研究结果对财政部门改革具有重要的政策意义。由于亚洲发展中国家更加依赖财政赤字,因此必须特别注意提高公共收入,以确保取得理想的结果。研究表明,对于收入水平已经很低且赤字持续存在的亚洲国家来说,增加收入将降低债务水平,从而促进更高的增长。
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引用次数: 3
Becoming a world power: The role of infrastructure alliances 成为世界强国:基础设施联盟的作用
Pub Date : 2017-12-28 DOI: 10.1453/JEPE.V4I3.1400
L. Avendano
Abstract. Hegemony is a struggle for influence. The leadership of a country respect to the power of capital is deeply related to the characteristics of the political economy of the leading state and its alliances. The prevalence of the economic character of international alliances has set a scenario where a country's power in the global economy might be perceived regarding the geographic spread of its international operations. In this work, we affirm that Chinese NOCs are a fundamental tool of the PRC’s geoeconomic strategy, that China’s geoeconomic strategy have resulted in infrastructure alliances and that those alliances have changed the way we understand the PRC’s geoeconomic and geopolitical influence in the world. Keywords. China, Geoeconomics, Geopolitics, Infrastructure alliances, NOC’s. JEL. F21, F23, F50, N75.
摘要霸权是争夺影响力的斗争。一个国家在资本权力方面的领导地位与领导国家及其联盟的政治经济特征密切相关。国际联盟的经济特征的普遍存在造成了这样一种情况,即一个国家在全球经济中的力量可能被视为其国际业务的地理分布。在这项工作中,我们确认中国的国有石油公司是中华人民共和国地缘经济战略的基本工具,中国的地缘经济战略导致了基础设施联盟,这些联盟改变了我们理解中华人民共和国在世界上的地缘经济和地缘政治影响的方式。关键词。中国,地缘经济,地缘政治,基础设施联盟,国家石油公司。冻胶。F21, f23, f50, n75。
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引用次数: 0
Migration-driven women’s empowerment: The case of Turkey 移民推动的妇女赋权:以土耳其为例
Pub Date : 2017-12-28 DOI: 10.1453/JEPE.V4I4.1528
Şule Akkoyunlu
Abstract. This paper addresses the effect of migration on women’s empowerment in Turkey.  Utilization of data over six decades from 1960 until 2011 gives the possibility that these series can be spuriously correlated. This study, therefore, adopts the bounds testing procedure as a method to determine and to avoid spurious correlation. The results of bounds testing gives clear-cut evidence that women’s empowerment, the share of women in parliament in the present context, is related to the emigration rate, the relative education of women and to a measure of democracy. It is also found that the share of women in parliament is related to the country groups with the largest effect in European and core OECD countries. The results are robust for the inclusion of asylum seekers and refugees in the emigration data. Keywords. International migration. JEL. F22.
摘要本文论述了移民对土耳其妇女赋权的影响。从1960年到2011年的60年数据的利用表明,这些序列可能存在虚假相关。因此,本研究采用边界检验程序作为确定和避免伪相关的方法。界限检验的结果提供了明确的证据,表明在目前情况下赋予妇女权力,即妇女在议会中所占的比例,与移徙率、妇女的相对受教育程度和民主程度有关。研究还发现,妇女在议会中的比例与在欧洲和经合发组织核心国家中影响最大的国家群体有关。将寻求庇护者和难民纳入移民数据的结果是可靠的。关键词。国际移民。冻胶。——F22。
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引用次数: 0
Financial gradualism and banking crises in North Africa region: an investigation by a panel logit model 金融渐进主义与北非地区银行危机:面板logit模型的研究
Pub Date : 2017-12-28 DOI: 10.1453/JEPE.V4I4.1442
Ahmed Khattab, Abid Ihadiyan
Abstract. In order to overcome the troubles of the crisis in the seventies, North African countries have adopted financial liberalization policies to enhance their economic growth. Moreover, these policies have affected the stability of their banking systems. The purpose of this study is to test the impact of financial liberalization on the probability of appearance of banking crises which covers a sample of four countries of the North Africa region during the period 1970-2003 by using a panel logit model. The empirical analysis of this study suggests that (a) the degree of financial liberalization impact significantly the occurrence of banking crises in the countries of the region, (b) the order of financial liberalization between internal and external financial liberalization is also crucial for the emergence of banking crises. Keywords. Financial liberalization, Banking crises, North African countries, Panel logit model, Order of financial liberalization, Degree of financial liberalization. JEL. F36, G18, F37, G15, C33.
摘要为了克服七十年代金融危机带来的麻烦,北非国家采取了金融自由化政策来促进经济增长。此外,这些政策影响了它们银行体系的稳定。本研究的目的是通过面板logit模型检验金融自由化对1970-2003年期间北非地区四个国家银行危机出现概率的影响。本研究的实证分析表明:(a)金融自由化程度显著影响了该地区各国银行危机的发生,(b)金融自由化在内部和外部金融自由化之间的顺序对银行危机的发生也至关重要。关键词。金融自由化,银行业危机,北非国家,面板逻辑模型,金融自由化顺序,金融自由化程度。冻胶。F36, g18, f37, g15, c33。
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引用次数: 0
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Journal of Economics and Political Economy
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