空间均衡:两个地区的案例

IF 3.8 1区 经济学 Q1 ECONOMICS Journal of International Economics Pub Date : 2024-10-15 DOI:10.1016/j.jinteco.2024.104008
Konstantin Kucheryavyy , Gary Lyn , Andrés Rodríguez-Clare
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引用次数: 0

摘要

在本文中,我们描述了典型的两地区经济地理模型的广义版本的均衡集,该模型嵌套了 Allen 和 Arkolakis(2014 年)以及 Krugman(1991 年)中的一类模型,并以投入产出循环为特征。与 Allen 和 Arkolakis(2014)中众所周知的结果不同,我们为均衡的唯一性提供了充分条件,即允许正集聚外部性(集中经济活动),即使没有拥堵效应(分散经济活动),并强调了三个附加参数的关键作用:贸易弹性,用于调节因移民进入某一地区而导致贸易条件下降所产生的分散力的强度;贸易成本,通过限制跨地区贸易来削弱这种分散力;以及农业部门的重要性,它对制造业的集聚力起到推动作用。
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Spatial Equilibria: The Case of Two Regions
In this paper we characterize the set of equilibria in a generalized version of the canonical two-region economic geography model that nests the class of models in Allen and Arkolakis (2014) as well as Krugman (1991) and features an input–output loop. We provide sufficient conditions for uniqueness of equilibria that — in contrast to the well-know result in Allen and Arkolakis (2014) — allow for positive agglomeration externalities, which concentrate economic activity, even in the absence of congestion effects, which disperse it, and highlight the key role played by three additional parameters: the trade elasticity, which regulates the strength of the dispersion force associated with the decline in the terms of trade caused by migration into a region; trade costs, which weaken this dispersion force by limiting trade across regions; and the importance of the agricultural sector, which pushes against agglomeration forces in manufacturing.
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来源期刊
CiteScore
5.80
自引率
6.10%
发文量
98
期刊介绍: The Journal of International Economics is intended to serve as the primary outlet for theoretical and empirical research in all areas of international economics. These include, but are not limited to the following: trade patterns, commercial policy; international institutions; exchange rates; open economy macroeconomics; international finance; international factor mobility. The Journal especially encourages the submission of articles which are empirical in nature, or deal with issues of open economy macroeconomics and international finance. Theoretical work submitted to the Journal should be original in its motivation or modelling structure. Empirical analysis should be based on a theoretical framework, and should be capable of replication.
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