中国贫困县乡村振兴与人才发展的耦合分析

IF 7.4 2区 经济学 Q1 BUSINESS, FINANCE
Yahui Lv , Siqi Zhang , Hanyue Li , Shitong Wang
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引用次数: 0

摘要

本文以河北省44个相对贫困县为研究对象,从产业、生态、文化、治理、生计、人才五个维度构建乡村振兴潜力评价体系。其中,人才发展从质量、结构和数量三个维度进行评估。我们采用了一种结合变异系数和标准重要性的综合加权方法。运用耦合协调模型分析了各子系统之间的协同效应,发现84%的县域处于低水平的协同状态(耦合协调度<;0.4),只有7个接近协调阈值。此外,75%的县在乡村振兴潜力方面表现出滞后,平原地区的协调水平明显高于山区。地理距离阈值分析显示,与近距离群体(50公里)相比,远距离群体(100公里)协调性下降了0.038,证实了距离衰减效应对空间治理的影响。因此,我们建议优化地理空间异质性响应机制,以克服低水平均衡陷阱。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
Coupling analysis of rural revitalization and talent development in disadvantaged counties in China
This study examines 44 relatively impoverished counties in Hebei Province, China, to develop evaluation systems for rural revitalization potential across five dimensions, namely, industry, ecology, culture, governance, livelihoods, and talent development. Among them, talent development is assessed across three dimensions, namely, quality, structure, and quantity. We employ an integrated weighting method combining the coefficient of variation and criteria importance through intercriteria correlation. A coupling coordination model is applied to analyze the synergies between these subsystems, revealing that 84% of counties are trapped in low-level coordination (coupling coordination degree < 0.4), with only seven approaching the coordination threshold. Furthermore, 75% of the counties exhibit a lag in rural revitalization potential, with coordination levels significantly higher in the plains than in mountainous regions. Geographical distance threshold analysis reveals a 0.038 decline in coordination for long-distance groups (>100 km) compared with short-distance groups (<50 km), confirming the distance decay effect on spatial governance. Thus, we propose optimizing geospatial heterogeneity response mechanisms to overcome the low-level equilibrium trap.
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来源期刊
Finance Research Letters
Finance Research Letters BUSINESS, FINANCE-
CiteScore
11.10
自引率
14.40%
发文量
863
期刊介绍: Finance Research Letters welcomes submissions across all areas of finance, aiming for rapid publication of significant new findings. The journal particularly encourages papers that provide insight into the replicability of established results, examine the cross-national applicability of previous findings, challenge existing methodologies, or demonstrate methodological contingencies. Papers are invited in the following areas: Actuarial studies Alternative investments Asset Pricing Bankruptcy and liquidation Banks and other Depository Institutions Behavioral and experimental finance Bibliometric and Scientometric studies of finance Capital budgeting and corporate investment Capital markets and accounting Capital structure and payout policy Commodities Contagion, crises and interdependence Corporate governance Credit and fixed income markets and instruments Derivatives Emerging markets Energy Finance and Energy Markets Financial Econometrics Financial History Financial intermediation and money markets Financial markets and marketplaces Financial Mathematics and Econophysics Financial Regulation and Law Forecasting Frontier market studies International Finance Market efficiency, event studies Mergers, acquisitions and the market for corporate control Micro Finance Institutions Microstructure Non-bank Financial Institutions Personal Finance Portfolio choice and investing Real estate finance and investing Risk SME, Family and Entrepreneurial Finance
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