意大利地区二元论:MARS和面板数据分析

IF 0.6 Q4 ECONOMICS
Iacopo Odoardi
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引用次数: 10

摘要

意大利最富裕和最贫穷地区之间的收入差距在过去几十年里不断扩大。我们研究了可以解释收入差异的地区财富来源,并对贫富地区进行了比较,为如何缩小差距提供建议。采用多变量自适应样条回归(MARS)分析来检测相关GDP决定因素,并采用固定效应模型来研究区域特征。2007年危机的影响在所有地区都很明显,较不富裕地区的一些结构性弱点限制了摆脱衰退和缩小与最富裕地区之间许多社会经济差距的机会。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
The Italian Regional Dualism: A MARS and Panel Data Analysis
The income gap between the richest and the poorest areas in Italy has increased in the last decades. We study the sources of regional wealth that can explain the differences in income and compare rich and poor areas to provide suggestions on how to bridge the gap. A multivariate adaptive regression splines (MARS) analysis is used to detect the relevant GDP determinants, and a fixed effects model is used to investigate the regional characteristics. The effects of the 2007 crisis are evident in all regions, and some structural weaknesses in the less wealthy areas limit the opportunities to exit the recession and close many socioeconomic gaps with the wealthiest regions.
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CiteScore
1.20
自引率
22.20%
发文量
13
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