新兴市场经济国家经济体系的混沌、粒度和不稳定性:GDP增长率与内部不平等加剧的关系

Marco Desogus, Elisa Casu
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引用次数: 0

摘要

从对新兴市场经济体2000年代第二个十年宏观经济数据的实证观察出发,对这些经济体的特权和前景进行了经济分析,特别关注了可能出现的系统性不稳定风险及其社会经济结构的总体健全性。这些评估似乎不仅对有关国家特别重要,而且因为它们在决定与整个发达国家的关系网络中的国际经济平衡方面的影响越来越大。事实上,除了生产增长的良好表现趋势外,新财富的分配也加剧了不平等。此外,新兴国家的经济政策往往显示出对生产增长这一唯一目标的普遍适应,而忽略了在所有(其他)宏观经济变量的组合安排内保持平衡。因此,我们首先使用基于帕累托概率分布的收入扩散模型来研究这些现象的本构动力学,然后使用流变学来分析分布在这些国家人口中的特殊新财富流动,以及由常驻代理人之间的交易引起的任何自发再分配效应。在这一点上,应用动态新凯恩斯主义模型,我们代表了系统并研究了解决方案。最后,我们建议政府对每个系统进行持续监测,采用能够干预的控制程序-通过经济和货币政策工具-在趋势显示经济系统中某些关键的不稳定水平时,从轨迹图中可以观察到。
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CHAOS, GRANULARITY, AND INSTABILITY IN ECONOMIC SYSTEMS OF COUNTRIES WITH EMERGING MARKET ECONOMIES: RELATIONSHIPS BETWEEN GDP GROWTH RATE AND INCREASING INTERNAL INEQUALITY
Starting from empirical observations of macroeconomic data from emerging market economies recorded in the second decade of the 2000s, an economic analysis was conducted on these economies ’ prerogatives and prospects, with special attention given to possible risks of systemic instability and the general soundness of their social and socio-economic structures. These assessments seem particularly relevant, not only for the countries in question, but because of their growing influence in determining international economic balance in the network of relations with developed countries at large. Indeed, alongside good performance trends in production growth, distribution of new wealth that has exacerbated inequalities can be discerned. Moreover, emerging countries ’ economic policies often show a general accommodation to the sole objective of production growth, whilst neglecting to maintain equilibrium within the combined arrangement of all (other) macroeconomic variables. Hence, at first we investigated the constitutive dynamics of these phenomena, using an income diffusion model based on a Pareto probability distribution, then on rheology for the analysis of the peculiar new wealth flows distributed over these countries ’ populations as well as any spontaneous redistribution effects induced by transactions among resident agents. At that point, applying the Dynamic New Keynesian model, we represented the system and studied solutions. Finally, we offer a proposal for constant government monitoring of each system, adopting control procedures capable of intervening – by way of economic and monetary policy instruments – where trends showed certain critical levels of instability in the economic system, which are observable from the trajectory diagrams.
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