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Lower volatility, higher inequality: are they related?

机译:较低的波动率,较高的不平等程度:它们是否相关?

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摘要

We investigate the relationship between GDP volatility and income inequality to explain the changes in both variables in the last decades of 20th century. The theoretical results show that these variables are related to the same parameters of the underlying income microdata. These results are supported by two empirical findings: (i) the simultaneity of the structural breaks in the GDP volatility and income inequality series across five industrialized countries; and (ii) the consistency of the results obtained from decomposing the US GDP volatility and income inequality data with those obtained from the US income microdata. The latter finding explains the diverging trends of the variables during the Great Moderation era. It also finds support for the argument that income inequality gives long-lasting responses to structural economic changes.
机译:我们调查了GDP波动与收入不平等之间的关系,以解释20世纪最后几十年两个变量的变化。理论结果表明,这些变量与基础收入微数据的相同参数有关。这些结果得到两个经验结果的支持:(i)在五个工业化国家中,GDP波动和收入不平等序列的结构性断裂同时发生; (ii)通过分解美国GDP波动率和收入不平等数据而获得的结果与从美国收入微数据中获得的结果的一致性。后一个发现解释了大温和时代变量的变化趋势。它还支持以下观点,即收入不平等能够对结构性经济变化做出长期回应。

著录项

  • 来源
    《Oxford Economic Papers》 |2017年第4期|847-869|共23页
  • 作者

    Ozan Eksi;

  • 作者单位

    TOBB University of Economics and Technology, Department of Economics, Sogutozu Street, No. 43, Ankara, 06560, Turkey;

  • 收录信息 美国《科学引文索引》(SCI);
  • 原文格式 PDF
  • 正文语种 eng
  • 中图分类
  • 关键词

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