衡量对机构的信任及其因果效应

IF 1.9 3区 经济学 Q2 ECONOMICS Quantitative Economics Pub Date : 2024-01-30 DOI:10.3982/qe1914
Stefan P. Penczynski, Maria Isabel Santana
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引用次数: 0

摘要

我们提出了一种衡量机构信任度的新方法,这种方法借鉴了用于激发时间偏好的实验方法。我们的衡量标准是受托人值得信赖的主观概率这一有意义的指标。在菲律宾的实验室实地环境中,我们测量了对两家不同金融机构的信任度。此外,我们还利用未来付款资格的外生变化来考察机构履行承诺是否会增加信任并改变个人金融行为。我们发现,符合条件的个人会大幅增加在该机构的储蓄。
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Measuring trust in institutions and its causal effect
We propose a novel way of measuring trust in institutions, which draws on the experimental method used to elicit time preferences. Our measure is provided in the meaningful metric of the subjective probability of trustworthiness of the trustee. In a lab-in-the-field setting in the Philippines, we measure trust in two different financial institutions. Additionally, we exploit exogenous variation in the eligibility for a future payment to examine whether a promise fulfilled by the institution increases trust and changes individual financial behavior. We find that eligible individuals significantly increase savings held with the institution.
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来源期刊
CiteScore
4.10
自引率
5.60%
发文量
28
审稿时长
52 weeks
期刊最新文献
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