Revisiting the pollution haven hypothesis within the context of the environmental Kuznets curve

IF 2.5 Q3 MANAGEMENT
F. Bekun, B. Gyamfi, M. Etokakpan, Burçin Çakir
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引用次数: 2

Abstract

Purpose This purpose of this study is to explore the impact of global trend of economic integration and interconnectedness which has drawn the attention of world economies and their implications on trade inflow. This trajectory has its impact, either positive/negative, on key macroeconomic indicators, to say the least on environmental sustainability, especially emerging economies. To this end, the need to explore the connection between foreign direct investment (FDI) inflow and energy consumption amidst the wave of economic globalisation is timely and pertinent for the case of Turkey. Design/methodology/approach This study seeks to explore the interaction between the outlined variables in a carbon-income framework for annual time series data from 1970 to 2016. A series of econometrics strategies was used consisting of unit root tests to examine the stationarity properties of the highlighted series. Subsequently, Pesaran’s Bounds testing technique is used to explore the long-run equilibrium relationship between the highlighted variables in conjunction with the Johansen cointegration test. For long-run regression coefficients, Pesaran’s autoregressive distributed lag and dynamic ordinary least squares methodology are used, and innovative accounting approaches are used to explore the responsiveness of each variable on another. Findings Empirical results validate the pollution haven hypothesis (PHH) in the long run for the case of Turkey. Thus suggesting that FDI inflow induced environmental degradation in Turkey. Additionally, this study observed that renewable energy, on the contrary, improves the quality of the environment. This study also affirms the presence of the environmental Kuznets curve phenomenon, indicating that Turkey, at its early stage of economic trajectory, emphasis is on economic growth rather than environmental quality. This suggests a need for more deliberate action(s) by the government administrators to pursue cleaner FDI inflow and energy technologies and strategies to foster a clean environment in Turkey and a cleaner ecosystem at large. Originality/value This study is unique in its choice of variables which is in line with the United Nations Sustainable Development Goals (SDGs) agenda to be achieved by 2030 and is very limited in the extant literature. From the economic perspective, the effect of the PHH is of interest especially to ascertain the extent the interplay among the variables has on the economy of Turkey. The empirical insights on PHH hypothesis have received less documentation in the extant literature especially for emerging economy like Turkey. Thus, this study seeks to revisit this theme for Turkey with aim to presents environmentally sustainable strategies without compromise for economic growth. Thus, this study seeks to revisit this theme.
在环境库兹涅茨曲线的背景下重新审视污染天堂假说
本研究的目的是探讨全球经济一体化和相互联系趋势对贸易流入的影响及其对世界经济的影响。这一轨迹对关键宏观经济指标有积极或消极的影响,至少对环境可持续性有影响,尤其是对新兴经济体。为此,在经济全球化浪潮中探索外国直接投资(FDI)流入与能源消费之间的联系,对土耳其的情况来说是及时和相关的。设计/方法/方法本研究旨在探索1970年至2016年年度时间序列数据的碳收入框架中概述的变量之间的相互作用。使用了一系列计量经济学策略,包括单位根检验来检查突出显示的系列的平稳性。随后,运用Pesaran’s Bounds检验技术,结合Johansen协整检验,探讨突出变量之间的长期均衡关系。对于长期回归系数,使用Pesaran的自回归分布滞后和动态普通最小二乘方法,并使用创新的会计方法来探索每个变量对另一个变量的响应性。从长期来看,实证结果验证了土耳其的污染避风港假说(PHH)。这表明外国直接投资流入导致了土耳其的环境退化。此外,本研究还发现,相反,可再生能源改善了环境质量。本研究还证实了环境库兹涅茨曲线现象的存在,表明土耳其在其经济轨迹的早期阶段,强调的是经济增长而不是环境质量。这表明政府管理人员需要采取更慎重的行动,追求更清洁的外国直接投资流入和能源技术和战略,以促进土耳其的清洁环境和更清洁的整个生态系统。原创性/价值本研究的独特之处在于其选择的变量符合联合国可持续发展目标(SDGs)议程,该议程将在2030年实现,并且在现有文献中非常有限。从经济的角度来看,PHH的影响是感兴趣的,特别是确定变量之间的相互作用对土耳其经济的影响程度。关于PHH假说的实证见解在现有文献中得到的文献较少,特别是对土耳其等新兴经济体。因此,本研究旨在重新审视土耳其的这一主题,目的是在不损害经济增长的情况下提出环境可持续的战略。因此,本研究试图重新审视这一主题。
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来源期刊
CiteScore
6.80
自引率
22.60%
发文量
63
期刊介绍: The International Journal of Energy Sector Management aims to facilitate dissemination of research on issues relating to supply management (covering the entire supply chain of resource finding, extraction, production, treatment, conversion, transportation, distribution and retail supply), demand and usage management, waste management, customer and other stakeholder management, and solutions thereto. The journal covers all forms of energy (non-renewable and renewable), forms of supply (centralised or decentralised), ownership patterns (public or private, cooperative, joint, or any other), market structures (formal, informal, integrated, disintegrated, national, international, local, etc.) and degress of commoditisation (e.g. internationally traded, regionally traded, non-traded, etc.). The journal aims to cover a wide range of subjects relevant to the management of the energy sector, including but not limited to: Management of scarce resources (economic, financial, human and natural), projects, activities and concerns (e.g. regulatory, social and environmental aspects), technologies and knowledge Business strategy, policy and planning as well as decision support systems for energy sector management Business organisation, structure and environment, and changes thereto Globalisation and multi-cultural management Management of innovation, change and transition.
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