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The La Marca model revisited: Structuralist goodwin cycles with evolutionary supply side and balance of payments constraints

机译:La Marca模型重新讨论:结构主义家庭循环与进化供应方和支付余额限制

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This research is aimed at investigating the causes of volatility that affect middle-income countries by studying the La Marca model. Drawing from the open-economy Goodwin tradition, this model demonstrates that economic activity, income distribution and accumulation of foreign assets dynamically interact, resulting in a pattern of dampened cycles. The study consists in analyzing the characteristics of the model by initially imposing: (I) a constant real exchange rate; (II) a constant net external asset to capital ratio, which is in line with the balance of payments dominance theory and (III) a fixed income distribution. We then (IV) expand the original model by adding an evolutionary supply-side in which productivity is at the center of the economic dynamic through international technology transfer and the Kaldor-Verdoorn effect. The results show that (1) the model always converges. (2) The restrictions (I) and (II) remove the cyclical component of the model, which highlights a central difference between La Marca and the original Goodwin model. (3) Fixed income distribution leads to a monotonic trajectory that reduces oscillations. (4) The inclusion of productivity dynamics generates new sources of volatility in the relationship between productivity, capacity utilization and net external assets and is in line with the structuralist argument of structural fragility.
机译:该研究旨在通过研究La Marca模型来研究影响中等收入国家的波动性的原因。从开放经济的商业传统中绘制,这种模式表明,经济活动,收入分配和外国资产的积累动态相互作用,导致抑制周期的模式。该研究通过最初强调分析模型的特征:(i)持续的实际汇率; (ii)持续净外部资产,以资本比率符合支付优势理论的余额和(iii)固定收入分配。然后(iv)通过添加进化的供应方,我们通过国际技术转让和Kaldor-Verdoorn效应增加了生产力的进化供应方,通过添加进化的供应方来扩展原始模型。结果表明,(1)模型始终会聚。 (2)限制(i)和(ii)删除模型的周期性组成部分,它突出了La Marca与原始新娘模型之间的中心区别。 (3)固定收入分配导致单调轨迹减少振荡。 (4)纳入生产力动力学在生产率,产能利用率和净外部资产之间的关系中产生新的波动源,并符合结构脆性的结构主义论证。

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