考虑贫困和不平等的增长回报评估变系数模型

Max Köhler, S. Sperlich, Jisu Yoon
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引用次数: 0

摘要

各种各样的论文证明了不平等、贫困和中产阶级规模对经济增长的重要性。在解释为什么收入分配的这些指标被添加到增长回归时,人们经常提到穷人的行为不同,这可能会转化为整个经济。然而,简单地添加解释变量并不能反映这种行为。通过变系数模型,我们表明,根据贫困和不平等,增长回报差异很大。此外,我们还调查了社会中较贫穷和较富裕部分的这些回报是如何不同的。我们认为,系数的差异一方面阻碍了均值系数的信息量,另一方面挑战了经济解释的可信度。简而言之,我们表明,当估计平均系数而不考虑贫困和不平等时,估计可能会遭受严重的内生性偏差。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
A Varying Coefficient Model for Assessing the Returns to Growth To Account for Poverty and Inequality
Various papers demonstrate the importance of inequality, poverty and the size of the middle class for economic growth. When explaining why these measures of the income distribution are added to the growth regression, it is often mentioned that poor people behave different which may translate to the economy as a whole. However, simply adding explanatory variables does not reflect this behavior. By a varying coefficient model we show that the returns to growth differ a lot depending on poverty and inequality. Furthermore, we investigate how these returns differ for the poorer and for the richer part of the societies. We argue that the differences in the coefficients impede, on the one hand, that the means coefficients are informative, and, on the other hand, challenge the credibility of the economic interpretation. In short, we show that, when estimating mean coefficients without accounting for poverty and inequality, the estimation is likely to suffer from a serious endogeneity bias.
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