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  • 1
    UID:
    gbv_467744939
    In: T. 2
    Language: Spanish
    Library Location Call Number Volume/Issue/Year Availability
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  • 2
    UID:
    gbv_730014517
    Format: 20 p. , 21 x 29.7cm
    Series Statement: OECD Statistics Working Papers no.2011/02
    Language: English
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  • 3
    Online Resource
    Online Resource
    Paris : Organisation for Economic Co-operation and Development, Statistics Dir.
    UID:
    gbv_672548135
    Format: Online-Ressource (PDF-Datei: 19 S., 0,55 MB) , graph. Darst.
    Series Statement: OECD statistics working papers 2011/2
    Note: Systemvoraussetzungen: Acrobat Reader.
    Language: English
    Keywords: Amtsdruckschrift ; Arbeitspapier ; Graue Literatur
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  • 4
    UID:
    gbv_1771980974
    Format: 1 Online-Ressource (42 p.) , 21 x 28cm.
    Content: In a majority of OECD countries, GDP growth over the past three decades has been associated with growing income disparities. To shed some lights on the potential sources of trade-offs between growth and equity, this paper investigates the long-run impact of structural reforms on GDP per capita and household income distribution. Pro-growth reforms can be distinguished according to whether they are found to generate an increase or a reduction in household disposable income inequality. Those that contribute to reduce inequality include the reduction in regulatory barriers to competition, trade and FDI, as well as the stepping-up in job search assistance and training programmes. Conversely, a tightening of unemployment benefits for the long-term unemployed is found to lift mean household income but to lower income among poorer households, thus raising inequality. Several other reforms have no significant impact on income distribution. JEL Classification: 047, D37, E61 Keywords: Growth, inequality, pro-growth policies
    In: OECD Journal: Economic Studies, Vol. 2015, no. 1, p. 227-268
    In: volume:2015
    In: year:2015
    In: number:1
    In: pages:227-268
    Language: English
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  • 5
    Online Resource
    Online Resource
    Paris : OECD Publishing
    UID:
    b3kat_BV047937556
    Format: 1 Online-Ressource (61 Seiten) , 19 x 27cm
    Series Statement: OECD Economics Department Working Papers
    Content: Widespread increases in inequality over the past three decades have raised the question of the distribution of the growth dividends. This paper finds that there is no single answer to this question. The mechanisms that link growth and income inequality are found to differ depending on the sources of growth and on whether one considers income inequality before or after government redistribution, that is, inequality in market incomes, i.e. income derived before taxes and transfers, or inequality in disposable incomes, that is, income after taxes and transfers. Labour productivity growth is found to have contributed to rising market income inequality, while this was partly mitigated through government redistribution, on average across OECD countries over the last decades. By contrast, employment growth is found to have had an equalising impact, benefiting mostly the households in the lower part of the income distribution. These two forces tended to offset each other and resulted in a broadly distribution-neutral impact of GDP per capita growth, on average across OECD countries over the last three decades. While inequality has risen in many countries, this would tend to suggest that factors other than GDP growth itself have been driving widening income gaps between rich and poor households
    Language: English
    URL: Volltext  (URL des Erstveröffentlichers)
    URL: Volltext  (URL des Erstveröffentlichers)
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  • 6
    Online Resource
    Online Resource
    Paris : OECD Publishing
    UID:
    b3kat_BV047937100
    Format: 1 Online-Ressource (35 Seiten) , 21 x 29.7cm
    Series Statement: OECD Economic Policy Papers
    Content: This paper provides new empirical evidence on the effects of structural policies on household disposable incomes at different income levels. More specifically, it investigates the extent to which structural policies have differential long-run impacts on GDP per capita and on household incomes at different points of the distribution. One aim is to verify whether policy decisions may face tradeoffs between objectives of economic efficiency and equity. Many growth enhancing structural reforms are found to deliver stronger income gains for households at the lower end of the distribution compared with the average household, an indication that they may reduce inequality in disposable incomes. Such is the case of reducing regulatory barriers to domestic competition as well as to trade and FDI; stepping-up job-search support and activation programmes. Conversely, other reforms involve trade-offs between the efficiency and equity objective. This is the case of the tightening of unemployment benefits for the long-term unemployed, which is found to lift GDP per capita and average household incomes, but also to reduce disposable incomes at the lower end of the distribution
    Language: English
    URL: Volltext  (URL des Erstveröffentlichers)
    URL: Volltext  (URL des Erstveröffentlichers)
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  • 7
    UID:
    b3kat_BV047932945
    Format: 1 Online-Ressource (83 Seiten) , 21 x 29.7cm
    Series Statement: OECD Economics Department Working Papers
    Content: This paper provides an assessment of how households' income has fared compared with GDP. While the prime focus is on incomes around the median, attention is paid also to the bottom of the income distribution. Thus, one contribution of the paper is to deliver a fresh assessment of the evolution of inequality and poverty across OECD countries over the last fifteen years. The analysis relies on a rich array of indicators, producing new evidence of the various patterns of differences in income distributions across countries and over time. For example, it assesses the extent to which stability in overall income inequality masks compensating changes between the lower and upper halves of the income distribution. Also, it explores whether contracting inequalities coexist with increasing poverty. The paper adds to previous studies by introducing, measuring and analysing income polarisation in a cross-country comparative perspective. Distinguishing polarisation from inequality and comparing their evolution over time provides new policy-relevant perspectives on the nature of the changing income distribution
    Language: English
    URL: Volltext  (URL des Erstveröffentlichers)
    URL: Volltext  (URL des Erstveröffentlichers)
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  • 8
    UID:
    b3kat_BV047936766
    Format: 1 Online-Ressource (39 Seiten) , 21 x 29.7cm
    Series Statement: OECD Statistics Working Papers
    Content: Following recommendations from the Stiglitz-Sen-Fitoussi Commission (2009), this paper proposes the use of a new methodology to measure the joint distribution of households. income, consumption and wealth. Based on a multidimensional extension of the Atkinson generalized mean framework, the paper justifies the application of this methodology based on a set of standard and acknowledged properties, proving that this is the sole methodology satisfying them all simultaneously. The derived multidimensional index has an intuitive structure, which allows evaluating the overall material conditions of households under different perspectives and with varying sensitivity to distributionnal issues. Under its general form, the index encompasses a class of sub-indices that impose various restrictions on its parameters; the paper discusses the extent to which different restrictions on parameters affect the multidimensional assessments of various population groups, and provides some empirical illustrations using those different specifications. The question addressed by the multidimensional measure presented here is whether the joint consideration of household income, consumption and wealth modifies substantially the picture of material living standards of different individuals and groups relative to the one provided by income alone. Based on the dataset used here, the paper provides strong evidence on the importance of such a multidimensional assessment
    Language: English
    URL: Volltext  (URL des Erstveröffentlichers)
    URL: Volltext  (URL des Erstveröffentlichers)
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  • 9
    UID:
    b3kat_BV047932498
    Format: 1 Online-Ressource (50 Seiten) , 21 x 29.7cm
    Series Statement: OECD Economics Department Working Papers
    Content: This paper delivers a broad assessment of income inequality in Denmark. As a necessary preamble to provide a basis for discussion, we start by contrasting Danish official inequality measures with those gathered by the OECD in an international context. We show that differences between these two sources are fully explained by differences in methodological choices. We then go beyond synthetic measures of inequality to deliver a granular assessment of income distribution and of the distributional impact of taxes and transfers; and on this basis we compare Denmark to other OECD countries. This approach is then used to quantify the distributional impact of some growth-enhancing reforms undertaken or recommended for Denmark, based on empirical evidence across OECD countries. Finally, we take a forward looking stance by discussing global forces shaping the rise in inequality, in particular skill-biased technological change and deliver a tentative scenario for Denmark in the wider OECD context
    Language: English
    URL: Volltext  (URL des Erstveröffentlichers)
    URL: Volltext  (URL des Erstveröffentlichers)
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  • 10
    UID:
    b3kat_BV047933569
    Format: 1 Online-Ressource (19 Seiten) , 21 x 29.7cm
    Series Statement: OECD Statistics Working Papers
    Content: Masking methods for the safe dissemination of microdata consist of distorting the original data while preserving a pre-defined set of statistical properties in the microdata. For continuous variables, available methodologies rely essentially on matrix masking and in particular on adding noise to the original values, using more or less refined procedures depending on the extent of information that one seeks to preserve. Almost all of these methods make use of the critical assumption that the original datasets follow a normal distribution and/or that the noise has such a distribution. This assumption is, however, restrictive in the sense that few variables follow empirically a Gaussian pattern: the distribution of household income, for example, is positively skewed, and this skewness is essential information that has to be considered and preserved. This paper addresses these issues by presenting a simple multiplicative masking method that preserves skewness of the original data while offering a sufficient level of disclosure risk control. Numerical examples are provided, leading to the suggestion that this method could be well-suited for the dissemination of a broad range of microdata, including those based on administrative and business records
    Language: English
    URL: Volltext  (URL des Erstveröffentlichers)
    URL: Volltext  (URL des Erstveröffentlichers)
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