ASSESSMENT OF WEALTH DIVERSITY (CASE OF LITHUANIA)

IF 3 Q1 ECONOMICS
O. Rakauskienė, Vaida Servetkienė, Lina Volodzkiene
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Abstract

The high level of income and wealth distribution in the world is recognized as a phenomenon that leads to negative economic and social consequences. The imperfection of redistribution levers in the economy has created conditions for the concentration of resources, material goods and wealth in small population groups. Today, the economic system is not focused on majority of the population, and therefore the high level of inequality and its consequences for economic growth, well-being and human development cannot be ignored. In this context, too high economic inequality in Lithuania is one of the most sensitive problems of the country; Lithuania is an anti-leader in the European Union according to economic inequality.Conventionally, economic inequality is measured using such methods as distribution of income and consumption of the population, however, to find out the real level of inequality, wealth diversity should be studied as well. The main purpose of this article is to identify and emphasise wealth diversity as an inseparable part of economic inequality in Lithuania and, as a result, the poor quality of life and obstacles in the way of economic progress as well as to compare wealth inequality with income inequality in Lithuania.The authors organised a representative poll of Lithuanian citizens and used a certain survey to collect information about the dwelling-places or other types of assets owned by the respondents as well as to evaluate wealth diversity in the country. The results show that the edge value of the assets owned by the representatives between I and X deciles differs by 16.9 times. However, comparing the average prices of dwelling-places in deciles I and X, the difference amounts to 7.2 times. Assessing all types of assets, including accommodation, land, durable goods, etc., it has been revealed that the distribution of wealth exceeds the limit of income and consumption distribution established by various statistical organisations and by the authors themselves. The decile ratio (in relation to deciles I and X) equals to 40.8, thus, it considerably exceeds the level of income and consumption inequality.
财富多样性评估(以立陶宛为例)
世界上收入和财富分配的高水平被认为是一种导致消极经济和社会后果的现象。经济中再分配杠杆的不完善为资源、物质产品和财富集中在少数人口群体中创造了条件。今天,经济制度的重点并不是大多数人口,因此,高度不平等及其对经济增长、福祉和人类发展的影响是不容忽视的。在这方面,立陶宛过高的经济不平等是该国最敏感的问题之一;由于经济不平等,立陶宛是欧盟的反领导人。传统上,经济不平等是通过收入分配和人口消费等方法来衡量的,但是,为了找出真正的不平等程度,还应该研究财富多样性。本文的主要目的是确定和强调财富多样性是立陶宛经济不平等的一个不可分割的部分,因此,生活质量差和经济进步道路上的障碍,以及比较立陶宛的财富不平等和收入不平等。作者对立陶宛公民进行了一次有代表性的民意调查,并利用某种调查来收集有关受访者所拥有的住所或其他类型资产的信息,并评估该国的财富多样性。结果表明,代表所拥有的资产在1和X十分位数之间的边缘值相差16.9倍。然而,比较I和X十分位数的住房平均价格,差距达到了7.2倍。评估所有类型的资产,包括住房、土地、耐用品等,发现财富的分配超过了各种统计组织和作者自己确定的收入和消费分配的限制。十分位数比率(相对于十分位数I和十分位数X)等于40.8,因此,它大大超过了收入和消费不平等的水平。
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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