From Progress to Nightmare - European Regional Unemployment Over Time

R. Beyer, M. Stemmer
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引用次数: 4

Abstract

We analyze the distribution of regional unemployment in Europe over the last three decades using non-parametric kernel densities and stochastic kernels. In addition, we employ a multi-level factor model to separate European, country, and region-specific unemployment fluctuations. Three phases of distributional change of EU relative unemployment rates are detected: they polarized from 1986 to 1996, converged after the introduction of the Euro and have been polarizing again since the outbreak of the financial crisis, having reached the highest levels ever. We find that European fluctuations account for roughly two fifths of the total variance confirming the existence of a European unemployment cycle. Country fluctuations are equally important, which leaves one fifth to be explained by region-specific movements. German regions are found to respond negatively to the European factor and country movements cause diverse responses in particular in Italy and England. The convergence prior to 2007 can be attributed to country affects and the divergence thereafter both to country and region-specific factors. Finally, we also discuss within country heterogeneity.
从进步到噩梦——欧洲地区长期失业
我们使用非参数核密度和随机核分析了过去三十年来欧洲地区失业的分布。此外,我们采用多层次因素模型来分离欧洲,国家和地区特定的失业波动。研究发现,欧盟相对失业率的分布变化经历了三个阶段:1986 - 1996年出现两极分化,引入欧元后趋于一致,金融危机爆发后再次出现两极分化,达到历史最高水平。我们发现,欧洲的波动约占总方差的五分之二,证实了欧洲失业周期的存在。国家的波动同样重要,这就使得五分之一的波动可以用特定区域的波动来解释。研究发现,德国地区对欧洲因素的反应是消极的,而国家流动引起了不同的反应,尤其是在意大利和英国。2007年之前的趋同可归因于国家的影响,而此后的差异可归因于国家和区域的具体因素。最后,我们还讨论了国家内部的异质性。
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