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Impact of Financial Liberalization on Income Inequality: A PVAR Approach

机译:金融自由化对收入不平等的影响:PVAR方法

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We estimate a panel vector autoregressive model (PVAR) to study the impact of financial liberalization on income inequality. The analysis is carried out for 162 countries over the period 1980-2015. The results show that capital account liberalization and financial development increase inequality. However, it change according to the category of income countries (low, middle and high-income) and according to the period of study used (before and after 1990). The shocks caused by the indicators of financial liberalization on income inequality are very low but persistent in time.
机译:我们估计了面板向量自回归模型(PVAR),以研究金融自由化对收入不平等的影响。在1980-2015年期间对162个国家/地区进行了分析。结果表明,资本账户自由化和金融发展加剧了不平等。但是,它根据收入国家的类别(低收入,中等收入和高收入)和使用的研究时期(1990年之前和之后)而变化。金融自由化指标对收入不平等的冲击很小,但持续时间很长。

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