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Understanding Russian regions' economic performance during periods of decline and growth-An extreme bound analysis approach

机译:了解衰退和增长时期的俄罗斯地区经济表现-极限分析法

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This article uses "extreme-bound"-type analysis to revisit the determinants behind the widely differing economic growth in Russian regions prior to the recent global financial crisis. Using data of regional growth in 1995-2006 for 77 Russian regions, it examines the growth drivers for the phase of economic decline up to 1998 and for the period of strong growth afterwards separately. Looking at forty variables considered to be potentially related to growth, it determines, for each of the two periods, the ones robustly associated with Russian economic performance. Among the variables considered are proxies of politico-institutional features, indicators of economic reform, and measurements of both economic and non-economic initial conditions. The main findings are as follows: during the period of economic decline up to 1998, differences in Russian regional growth were almost entirely driven by initial conditions, with resource and human capital endowments, industrial structure, and geographical location playing the dominant roles. However, after the 1998 crisis, the importance of initial conditions declined and was basically reduced to fuel production, advantageous geographical location, and population structure. There is also some evidence that more reform-oriented policies and better regional leadership made a difference. These results could be seen as pointing to determinants of economic performance in periods of actual economic decline being different from those in normal times of economic growth.
机译:本文使用“极端约束”类型的分析来重新探究在最近的全球金融危机之前俄罗斯各地区经济增长迥异的背后的决定因素。它使用1995-2006年俄罗斯77个地区的地区增长数据,分别考察了1998年之前的经济下滑阶段以及此后强劲增长时期的增长动因。通过查看40个被认为可能与增长相关的变量,它确定了两个时期中每个时期与俄罗斯经济表现密切相关的时期。考虑的变量包括政治体制特征的代理,经济改革的指标以及对经济和非经济初始条件的衡量。主要发现如下:在1998年之前的经济下滑时期,俄罗斯区域增长的差异几乎完全由初始条件驱动,资源和人力资本end赋,产业结构和地理位置起着主导作用。但是,在1998年危机之后,初始条件的重要性下降了,基本上已经减少到燃料生产,优越的地理位置和人口结构。也有证据表明,更多的改革政策和更好的地区领导才能产生作用。这些结果可以看作是实际经济下滑时期与经济正常时期的经济表现的决定因素。

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