灾害易发国家的宏观经济结果

A. Cantelmo, Giovanni Melina, C. Papageorgiou
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引用次数: 31

摘要

本文采用动态随机一般均衡模型,研究了自然灾害冲击影响易发国家宏观经济结果和福利的渠道。我们使用泰勒投影来解决模型,这是一种解决方法,可以有效地处理根据经验证据校准的高影响天气冲击。我们发现,天气冲击对灾害易发国家的收入趋同路径产生了巨大而持久的影响。相对于不容易发生灾害的国家,平均而言,这些冲击造成的福利损失相当于消费永久性下降1.6%。研究发现,在韧性公共基础设施方面自筹资金的国家所获得的福利收益可以忽略不计,而要实现显著的福利收益,国际援助必须相当可观。此外,捐助者在灾害发生之前为恢复力提供资金,而不是在灾害发生后支付援助,更具成本效益。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
Macroeconomic Outcomes in Disaster-Prone Countries
Using a dynamic stochastic general equilibrium model, we study the channels through which natural disaster shocks affect macroeconomic outcomes and welfare in disaster-prone countries. We solve the model using Taylor projection, a solution method that is shown to deal effectively with high-impact weather shocks calibrated in accordance to empirical evidence. We find large and persistent effects of weather shocks that significantly impact the income convergence path of disaster-prone countries. Relative to non-disaster-prone countries, on average, these shocks cause a welfare loss equivalent to a permanent fall in consumption of 1.6 percent. Welfare gains to countries that self-finance investments in resilient public infrastructure are found to be negligible, and international aid has to be sizable to achieve significant welfare gains. In addition, it is more cost-effective for donors to contribute to the financing of resilience before the realization of disasters, rather than disbursing aid after their realization.
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