Why Don't Poor Countries Do R&D?

Edwin Goñi, W. Maloney
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引用次数: 21

Abstract

Using a global panel on research and development (R&D) expenditures, this paper documents that on average poor countries do far less R&D than rich as a share of GDP. This is arguably counter intuitive since the gains from doing the R&D required for technological catch up are thought to be very high and Griffith et al. (2004) have documented that in the OECD returns increase dramatically with distance from the frontier. Exploiting recent advances in instrumental variables in a varying coefficient context we find than the rates of return follow an inverted U: they rise with distance to the frontier and then fall thereafter, potentially turning negative for the poorest countries. The findings are consistent with the importance of factors complementary to R&D, such as education, the quality of scientific infrastructure and the overall functioning of the national innovation system, and the quality of the private sector, which become increasingly weak with distance from the frontier and the absence of which can offset the catch up effect. China’s and India’s explosive growth in R&D investment trajectories in spite of expected low returns may be justified by their importing the complementary factors in the form of multinational corporations who do most of the patentable research.
为什么贫穷国家不做研发?
本文利用一个全球研究与开发(R&D)支出小组,证明了平均而言,贫穷国家的研发支出占GDP的比例远低于富裕国家。这可以说是违反直觉的,因为进行技术追赶所需的研发所获得的收益被认为非常高,Griffith等人(2004)已经证明,在经合组织中,随着与前沿的距离增加,回报会急剧增加。利用工具变量在不同系数背景下的最新进展,我们发现回报率遵循倒U形:它们随着与边境的距离而上升,然后下降,对最贫穷的国家来说可能变为负值。这一发现与教育、科学基础设施质量和国家创新体系整体功能以及私营部门质量等与研发互补的因素的重要性一致,这些因素随着距离前沿的距离而变得越来越弱,而这些因素的缺失可以抵消追赶效应。尽管预期回报较低,但中国和印度在研发投资轨迹上的爆炸式增长可能是合理的,因为它们以跨国公司的形式引入了互补因素,而跨国公司承担了大部分可获得专利的研究。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
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