全球金融危机后拉丁美洲的不平等停滞

Louise J. Cord, Oscar Barriga Cabanillas, L. Lucchetti, Carlos Rodríguez‐Castelán, L. Sousa, Daniel Valderrama
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引用次数: 57

摘要

在过去十年(2003- 2012年),拉丁美洲经历了强劲的收入增长和收入不平等的显著减少,该地区的基尼系数从55.6降至51.8。之前的研究对这种下降的可持续性提出了警告,本文提出了拉丁美洲自2010年以来收入不平等缩小步伐停滞的证据。从不同的不平等衡量标准来看,这种停滞现象都很明显,这在很大程度上是由于全球金融危机对墨西哥和中美洲的影响,2010年后,随着劳动收入的恢复,不平等现象有所加剧。此外,本文发现的证据表明,危机后国家层面上不平等现象的持续减少,在很大程度上是由于收入分配顶层家庭的收入增长为负或为零,以及最贫困家庭的收入增长较低。这场危机还凸显了该地区劳动力市场的弱点,以及严重依赖公共转移来进行再分配,凸显了该地区最近取得的社会成果对全球经济形势的脆弱性。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
Inequality Stagnation in Latin America in the Aftermath of the Global Financial Crisis
Over the past decade (2003-12), Latin America has experienced strong income growth and a notable reduction in income inequality, with the region's Gini coefficient falling from 55.6 to 51.8. Previous studies have warned about the sustainability of such a decline, and this paper presents evidence of stagnation in the pace of reduction of income inequality in Latin America since 2010. This phenomenon of stagnation is robust to different measures of inequality and is largely attributable to the impact of the Global Financial Crisis on Mexico and Central America, where inequality rose after 2010 as labor income recovered. Moreover, this paper finds evidence that much of the continuation of inequality reduction after the crisis at the country level has been due to negative or zero income growth for households in the top of the income distribution, and lower growth of the incomes of the poorest households. The crisis also highlighted weaknesses in the region's labor markets and the heavy reliance on public transfers to redistribute, underscoring the vulnerability of the region's recent social gains to global economic conditions.
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