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Unemployment fluctuations in a small open-economy model with segmented labour markets: The case of Canada

机译:劳动力市场分割的小型开放经济模型中的失业波动:加拿大的情况

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The recent financial crisis and subsequent recession have spurred great interest in the sources of unemployment fluctuations. Previous studies predominantly assume a single economy-wide labour market, and therefore abstract from differences across sector-specific labour markets in the economy. In Canada, such differences are substantial. From 1991 to 2010, employment in the tradable sector is almost three times as volatile as that in the non-tradable sector, and wages are about twice as volatile. To capture the labour market differences at the sectoral level, I introduce a segmented labour market structure to a medium-scale dynamic stochastic general equilibrium model with financial and labour market frictions and estimate the model using Canadian data from 1991 to 2010. I find that, in the long run, unemployment fluctuations are mainly driven by the shocks to firms’ net worth and production technology in the non-tradable sector and the shocks to the foreign interest rate. In the short run, however, it is the shocks to firms’ net worth in the tradable sector that account for about 50% of unemployment fluctuations. I also find that inclusion of the recent financial crisis data in the estimation is crucial for assessing the effects of the financial wealth shocks.
机译:最近的金融危机和随后的衰退激发了人们对失业波动来源的极大兴趣。以前的研究主要假设整个经济范围内的劳动力市场,因此从经济中特定行业的劳动力市场之间的差异中抽象出来。在加拿大,这种差异是巨大的。从1991年到2010年,可贸易部门的就业波动几乎是非贸易部门的三倍,而工资的波动约为其两倍。为了捕捉部门层面的劳动力市场差异,我将分段的劳动力市场结构引入具有金融和劳动力市场摩擦的中型动态随机一般均衡模型,并使用1991年至2010年的加拿大数据对该模型进行了估算。我发现,从长远来看,失业率波动主要是受到非贸易部门企业净值和生产技术的冲击以及外国利率的冲击所致。然而,在短期内,对贸易领域公司净资产的冲击约占失业率波动的50%。我还发现,在估算中包括最近的金融危机数据对于评估金融财富冲击的影响至关重要。

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