衡量拉丁美洲对多维贫困的脆弱性

IF 1.9 3区 经济学 Q2 ECONOMICS
Mauricio Gallardo, María Emma Santos, Pablo Villatoro, Vicky Pizarro
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引用次数: 0

摘要

在本文中,我们在2005/2006年、2012年和2017年三个时间点对17个拉丁美洲国家的多维贫困脆弱性进行了估计。我们使用一个多维贝叶斯网络分类器模型来估计多维贫困的条件概率,然后我们使用这些概率和标准下行半偏差作为风险参数来识别弱势家庭。尽管在研究期间大幅减少了贫困,但2017年约有1.5亿人(不包括我们没有最新数据的危地马拉、尼加拉瓜和委内瑞拉)仍然容易陷入多维贫困。我们还观察到,贫困脆弱性的降低速度远低于贫困本身,这表明可持续发展目标1的成就可能相当脆弱。我们进行了分解,发现随着贫困的减少,风险引起的脆弱性变得比贫困引起的脆弱性相对更重要。然而,贫困弱势群体仍然是核心弱势群体。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
MEASURING VULNERABILITY TO MULTIDIMENSIONAL POVERTY IN LATIN AMERICA
In this paper, we perform estimates of vulnerability to multidimensional poverty for 17 Latin American countries at three points of time: 2005/2006, 2012, and 2017. We use a Multidimensional Bayesian Network Classifier model to estimate the conditional probability of being multidimensionally poor and then we use these probabilities and the standard downside semi‐deviation as the risk parameter to identify the vulnerable households. Despite significant reductions over the study period, in 2017 approximately 150 million people—excluding Guatemala, Nicaragua and Venezuela for which we do not have recent data—remained vulnerable to multidimensional poverty. We also observe that vulnerability to poverty is reduced at a much slower rate than poverty itself, revealing that achievements in SDG1 can be quite fragile. We perform a decomposition and find that as poverty decreases, risk‐induced vulnerability becomes relatively more important than poverty‐induced vulnerability. However, the poor‐vulnerable still constitute the core vulnerability group.
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来源期刊
CiteScore
4.00
自引率
10.00%
发文量
62
期刊介绍: The major objective of the Review of Income and Wealth is to advance knowledge on the definition, measurement and interpretation of national income, wealth and distribution. Among the issues covered are: - national and social accounting - microdata analyses of issues related to income and wealth and its distribution - the integration of micro and macro systems of economic, financial, and social statistics - international and intertemporal comparisons of income, wealth, inequality, poverty, well-being, and productivity - related problems of measurement and methodology
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