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首页> 外文期刊>The Review of Economic Studies >Assessing the Equalizing Force of Mobility Using Short Panels: France, 1990-2000
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Assessing the Equalizing Force of Mobility Using Short Panels: France, 1990-2000

机译:1990-2000年,法国利用短小组评估流动均衡力量:法国

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In this paper, we document whether and how much the equalizing force of earnings mobility has changed in France in the 1990's. For this purpose, we use a representative three-year panel, the French Labour Force Survey. We develop a model of earnings dynamics that combines a flexible specification of marginal earnings distributions (to fit the large cross-sectional dimension of the data) with a tight parametric representation of the dynamics (adapted to the short time-series dimension). Log earnings are modelled as the sum of a deterministic component, an individual fixed effect and a transitory component which is assumed first-order Markov. The transition probability of the transitory component is modelled as a one-parameter Plackett copula. We estimate this model using a sequential expectation-maximization algorithm. We exploit the estimated model to study employment/earnings inequality in France over the 1990-2002 period. We show that, in phase with business-cycle fluctuations (a recession in 1993 and two peaks in 1990 and 2000), earnings mobility decreases when cross-section inequality and unemployment risk increase. We simulate individual earnings trajectories and compute present values of lifetime earnings for various horizons. Inequality presents a hump-shaped evolution over the period, with a 9% increase between 1990 and 1995 and a decrease afterwards. Accounting for unemployment yields an increase of 11%. Moreover, this increase is persistent, as it translates into a 12% increase in the variance of log present values. The ratio of inequality in present values to inequality in one-year earnings, a natural measure of immobility or of the persistence of inequality, remains remarkably constant over the business cycle.
机译:在本文中,我们记录了1990年代法国的收入流动均衡力量是否改变以及改变了多少。为此,我们使用了一个具有代表性的三年专家组,即法国劳动力调查。我们开发了一种收益动态模型,该模型结合了边际收益分布的灵活规范(以适应数据的大横截面尺寸)和动态的紧密参数表示(适用于短时间序列维)。对数收益建模为确定性成分,单个固定效应和假定为一阶马尔可夫的暂时性成分之和。瞬态分量的跃迁概率被建模为一参数Plackett copula。我们使用顺序期望最大化算法估计该模型。我们利用估计的模型来研究1990-2002年法国的就业/收入不平等。我们表明,与商业周期波动(1993年的衰退以及1990年和2000年的两个高峰)同步,当横截面不平等和失业风险增加时,收入流动性下降。我们模拟各个收入轨迹,并计算不同时期的终身收入的现值。在此期间,不平等呈现出驼峰状的演变,在1990年至1995年之间上升了9%,随后下降了。失业率占比提高了11%。而且,这种增加是持久的,因为它转化为对数当前值的方差增加了12%。在商业周期中,现值不平等与一年收入不平等之比(固定性或不平等持续性的自然度量)保持显着恒定。

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