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Scientific Information Database (SID) - Trusted Source for Research and Academic Resources
Scientific Information Database (SID) - Trusted Source for Research and Academic Resources
Scientific Information Database (SID) - Trusted Source for Research and Academic Resources
Scientific Information Database (SID) - Trusted Source for Research and Academic Resources
Scientific Information Database (SID) - Trusted Source for Research and Academic Resources
Scientific Information Database (SID) - Trusted Source for Research and Academic Resources
Scientific Information Database (SID) - Trusted Source for Research and Academic Resources
Scientific Information Database (SID) - Trusted Source for Research and Academic Resources
Author(s): 

HASSAN ZADEH A.

Issue Info: 
  • Year: 

    2000
  • Volume: 

    3
  • Issue: 

    4-5
  • Pages: 

    130-184
Measures: 
  • Citations: 

    0
  • Views: 

    252
  • Downloads: 

    0
Keywords: 
Abstract: 

During the past five decades, in comparison with the past five hundred centuries, the rate of poverty has in average decreased in all countries of the world. Never the lees, poverty as a frightening phenomenon and as an obstacle to sustainable development has been threatening the human race in many parta of the world. The question is why the human society with all its unprecedented material and technological progress has done so little so late in combating the historical evil of poverty and destitution. Poverty is now no more an isolated case. It is purposive in the mids of wealth. Poverty as an economic and social scourge in Iran has in recent years been widely debated, and to same extent surveyed, and solution of a kind also has been offered to alleviate the plight of those under poverty line. Considerable state funds have also been programmed and allotted to deprived regions and low-income family through various channels. In spilt of these relief schemes, widespread poverty still persists, and the authorities are well aware to seek a long-term remedy. The present paper is a fresh attempt to examine leading factors and agents responsible for the emergence of poverty among a significant section of the population. Based on my survey findings. I present a set of policy measures likely effective in tackling the problems of poverty. Statistically, the survey is based on a good collection of views and statements drawn out from various economic, social, cultural research bodies and ... . Information, facts, and data have been statistically refined and elaborated in an econometric model, identifying the most important factors affecting poverty and their proportionate weight on the income of below - the - poverty line households. Further more, familiar determinants such as industrialization, rapid population growth, income distribution, astonishing growth of cities, continuous rural migration have been given due emphasis and consideration throughout the model.

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Author(s): 

RAHIMI BOROUJERDI A.R.

Issue Info: 
  • Year: 

    2000
  • Volume: 

    3
  • Issue: 

    4-5
  • Pages: 

    5-40
Measures: 
  • Citations: 

    3
  • Views: 

    1422
  • Downloads: 

    0
Keywords: 
Abstract: 

According to the theory of macroeconomics, achieving stable equilibrium in economy is possible when exchange rate regimes are consistent with the financial and monetary policies. Besides, regulating the real rate of exchange and its relation to a known exchange rate regime, which corresponds to economic conditions, is very important to create the equilibrium This study tries to forecast an exchange rate which can guarantee the growth of non-oil exports, by emphasizing on making exchange rate regime consistent with the exchange rate on the one hand and making financial and monetary policies harmonious with devaluation of  Rial on the other hand. To this end, we have employed a VAR model to determine an appropriate exchange rate to forecast the behavior of exchange rate and other related variables over 1996-2000 (1375-79) period. In this framework, a model is worked out to can simultaneously specify the effects of financial policies, liquidity growth, inflation, and devaluation of Rial on non-oil exports within a five-year period. For this purpose, a model is presented with five endogenous and four exogenous variables. The results show that an increase in inflation cancels out the positive effects of devaluation on non-oil exports. Rial devaluation will boost the growth of non-oil exports if it is accompanied by appropriate financial policies. Therefore, if the control of government expenditures is hinged with the devaluation of Rial, it may lead to a reduction in the growth of liquidity and inflation as well as to the growth of non-oil exports.

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Author(s): 

YUSOFI M.GH. | Daghigh s.

Issue Info: 
  • Year: 

    2000
  • Volume: 

    3
  • Issue: 

    4-5
  • Pages: 

    41-56
Measures: 
  • Citations: 

    1
  • Views: 

    971
  • Downloads: 

    0
Keywords: 
Abstract: 

Appropriate Industrial Location plays an important role in the success and performance of an industry. In this paper we have studied the location of industries in rural areas of Mazandaran province. We find that only four out of nine cases are in our priority lists of the study. This indicates that the present location chosen might probably be one of the main problems of these industries. Therefore, non-economic factors may have been influential in determining the Location of industry in the rural areas of the province.

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Author(s): 

AALABAF SABAGHI M.

Issue Info: 
  • Year: 

    2000
  • Volume: 

    3
  • Issue: 

    4-5
  • Pages: 

    57-72
Measures: 
  • Citations: 

    1
  • Views: 

    1513
  • Downloads: 

    0
Abstract: 

Bargaining in labour markets is a prevalent process for wages negotiations and employment in which there is a particular aspect clearly apparent in agency negotiations. There is a one-to-one aspect of bargaining between firms and workers that develops into contract negotiation in labour markets. This process and the resulting wage contract, is developed further in this paper in a non-cooperative bargaining model. JEL classification: C72, D43, LI3.

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Author(s): 

HADIAN EBRAHIM

Issue Info: 
  • Year: 

    2000
  • Volume: 

    3
  • Issue: 

    4-5
  • Pages: 

    73-80
Measures: 
  • Citations: 

    1
  • Views: 

    1056
  • Downloads: 

    0
Keywords: 
Abstract: 

The distributed lag effect of a unit change in one of the explanatory variables on the dependent variable is one of the major shortcomings of the standard linear regression model. Such a model, that specifies a causal relationship between a variable and its determinants, states that a unit change in one of the explanatory variables can result in a change in the dependent variable only during the period specified by the model. In practice, however, changes in, for example, the firm's advertisement may affect its sales over various periods. This paper aimes to develop an approach to estimate the distributed lag effects of a temporary (once -and - for - all) and a permanent (continuous) change in the explanatory variables by using information given by a cointegration model.

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Author(s): 

JAHANGARD E.

Issue Info: 
  • Year: 

    2000
  • Volume: 

    3
  • Issue: 

    4-5
  • Pages: 

    81-106
Measures: 
  • Citations: 

    1
  • Views: 

    1519
  • Downloads: 

    0
Keywords: 
Abstract: 

This paper tries to analyse the structural changes of the Iranian economy during 1969-1988. For this purpose the Input - Output tables of 1969, 1974, 1984and 1988 have been used. The original tables were at current prices and therefore could not be used to quantify the structural changes of the Iranian economy in real term. For this purpose, after making sectoral comparisons, and taking the year 1974 as the base year, all the tables have been deflated by using the double deflation methods.

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Author(s): 

KHATAIE M. | SEYFIPOUR R.

Issue Info: 
  • Year: 

    2000
  • Volume: 

    3
  • Issue: 

    4-5
  • Pages: 

    107-129
Measures: 
  • Citations: 

    7
  • Views: 

    2094
  • Downloads: 

    0
Keywords: 
Abstract: 

Models dealing with the relation between financial Phenomena and economic growth are of Neo-Schumpeterian Growth Models. In these models, financial performance effects the sustained economic growth in two ways: the rate of capital accumulation and the affects rate of technological innovations. In this article, we use Patrick's approach to analyze the causality relation between financial development and economic growth. For our empirical work, we use VEC model, which shows that the development of stock market and the long term financial resources have positive and long term effects on economic growth. The causality relation works unilaterally from the real sector to financial development. Furthermore, the article analyzes dynamic effects of different shocks on economic growth, and the variance decomposition of GDP growth by VEC modes

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Author(s): 

حسن زاده علی

Issue Info: 
  • Year: 

    1379
  • Volume: 

    3
  • Issue: 

    5-4
  • Pages: 

    135-183
Measures: 
  • Citations: 

    13
  • Views: 

    14679
  • Downloads: 

    0
Keywords: 
Abstract: 

طی پنجاه سال اخیر در مقایسه با پنج قرن گذشته، میزان فقر در همه کشورهای جهان از کاهش چشمگیری برخوردار بوده است. با این حال، هنوز فقر به عنوان یک پدیده هولناک مانعی برای توسعه پایدار بوده و زندگی بشر را مورد تهدید قرارداده است. حال، این سوال مطرح است که چرا جامعه بشری که میلیون ها سال سابقه زیست در کره خاکی دارد تا این اندازه دیر بر این مشکل تاریخی فایق آمده و چرا درجه موفقیت در این زمینه در بخش وسیعی از دنیای امروز تا این حد کم و ناچیز بوده است؟ در سال های اخیر، در کشور ما نیز این مسئله مورد توجه گسترده ای قرار گرفته است. با این حال، علی رغم این تلاش و صرف منابع مالی قابل ملاحظه ای تحت عنوان کمک به اقشار یا مناطق محروم هنوز حجم وسیعی از فقر و محرومیت ملاحظه می شود. در این راستا، به منظور ارایه یک راهکار مناسب، بررسی عوامل موثر بر فقر و تخمین شدت تاثیر هر یک از عوامل برای اولویت بندی و تخصیص منابع محدود برای اجرای سیاست ها و برنامه های فقرزدایی از اهمیت بالایی برخوردار است. مطالعه حاضر با استفاده از مجموعه ای از نظریات محققین و دانشمندان در قالب نظریه های اقتصادی، اجتماعی و فرهنگی و جمعیتی و براساس یک الگوی اقتصاد سنجی سعی در شناسایی عوامل موثر بر فقر در ایران و اندازه گیری شدت تاثیرگذاری هر یک از این عوامل نموده است. براساس نتایج مطالعه حاضر، سرمایه گذاری در نیروی انسانی، اصلاح ساختار توزیع درآمد و ثروت، رشد شهرنشینی و صنعتی شدن مهمترین عوامل موثر بر کاهش فقر در استان های کشور معرفی شده است.

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