975 resultados para Income gap ratio.
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This study uses the reverse salient methodology to contrast subsystems in video game consoles in order to discover, characterize, and forecast the most significant technology gap. We build on the current methodologies (Performance Gap and Time Gap) for measuring the magnitude of Reverse Salience, by showing the effectiveness of Performance Gap Ratio (PGR). The three subject subsystems in this analysis are the CPU Score, GPU core frequency, and video memory bandwidth. CPU Score is a metric developed for this project, which is the product of the core frequency, number of parallel cores, and instruction size. We measure the Performance Gap of each subsystem against concurrently available PC hardware on the market. Using PGR, we normalize the evolution of these technologies for comparative analysis. The results indicate that while CPU performance has historically been the Reverse Salient, video memory bandwidth has taken over as the quickest growing technology gap in the current generation. Finally, we create a technology forecasting model that shows how much the video RAM bandwidth gap will grow through 2019 should the current trend continue. This analysis can assist console developers in assigning resources to the next generation of platforms, which will ultimately result in longer hardware life cycles.
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Lower partial moments plays an important role in the analysis of risks and in income/poverty studies. In the present paper, we further investigate its importance in stochastic modeling and prove some characterization theorems arising out of it. We also identify its relationships with other important applied models such as weighted and equilibrium models. Finally, some applications of lower partial moments in poverty studies are also examined
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We used Plane Wave Expansion Method and a Rapid Genetic Algorithm to design two-dimensional photonic crystals with a large absolute band gap. A filling fraction controlling operator and Fourier transform data storage mechanism had been integrated into the genetic operators to get desired photonic crystals effectively and efficiently. Starting from randomly generated photonic crystals, the proposed RGA evolved toward the best objectives and yielded a square lattice photonic crystal with the band gap (defined as the gap to mid-gap ratio) as large as 13.25%. Furthermore, the evolutionary objective was modified and resulted in a satisfactory PC for better application to slab system.
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The Asian economy is expected to realise favourable growth during the first half of this century, but there is no guarantee. There is a discussion about a ‘middle-income trap’, which refers to a country that has realised rapid growth to become a middle-income country but is unable to grow further. A middle-income trap could occur not only if there is a delay in shifting the economy toward a productivity-driven structure, but also if there is a worsening of income distribution.We consider this in line with the theories of development economics and through a quantitative analysis. The relationship between income inequality and the trap can be explained by the Kuznets hypothesis and the basic-needs approach. Our quantitative analysis supports the Kuznets hypothesis, and indicates that,although a low-income country can accelerate its economic growth with the worsening of income distribution as an engine, a middle income country would experience a decreasing growth rate if it fails to narrow the income gap between the top and bottom income groups. The results also show that the basic-needs approach is also applicable in practice, and imply that the improvement of access to secondary education is important. A sensitivity analysis for three Asian upper-middle-income countries(China, Malaysia and Thailand) also shows that the situation related to a middle-income trap is worse than average in China and Malaysia. These two countries, according to the result of the sensitivity analysis, should urgently improve access to secondary education and should implement income redistribution measures to develop high-tech industries, before their demographic dividends expire. Income redistribution includes the narrowing of rural urban income disparities, benefits to low-income individuals, direct income transfers, vouchers or free provision of education and health-care, and so on, but none of these are simple to implement.
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The inter-sectoral migration of agricultural labour is a complex but fundamental process of economic development largely affected by the growth of agricultural productivity and the evolution of the agricultural relative income gap. Theory and some recent anecdotal evidence suggest that as an effect of large fixed and sunk costs of out-farm migration, the productivity gap between the agricultural and non-agricultural sectors should behave non-monotonically or following a U-shaped evolution during economic development. Whether or not this relationship holds true across a sample of 38 developing and developed countries and across more than 200 EU regions was empirically tested. Results strongly confirm this relationship, which also emphasises the role played by national agricultural policy.
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The study seeks to find out whether the real burden of the personal taxation has increased or decreased. In order to determine this, we investigate how the same real income has been taxed in different years. Whenever the taxes for the same real income for a given year are higher than for the base year, the real tax burden has increased. If they are lower, the real tax burden has decreased. The study thus seeks to estimate how changes in the tax regulations affect the real tax burden. It should be kept in mind that the progression in the central government income tax schedule ensures that a real change in income will bring about a change in the tax ration. In case of inflation when the tax schedules are kept nominally the same will also increase the real tax burden. In calculations of the study it is assumed that the real income remains constant, so that we can get an unbiased measure of the effects of governmental actions in real terms. The main factors influencing the amount of income taxes an individual must pay are as follows: - Gross income (income subject to central and local government taxes). - Deductions from gross income and taxes calculated according to tax schedules. - The central government income tax schedule (progressive income taxation). - The rates for the local taxes and for social security payments (proportional taxation). In the study we investigate how much a certain group of taxpayers would have paid in taxes according to the actual tax regulations prevailing indifferent years if the income were kept constant in real terms. Other factors affecting tax liability are kept strictly unchanged (as constants). The resulting taxes, expressed in fixed prices, are then compared to the taxes levied in the base year (hypothetical taxation). The question we are addressing is thus how much taxes a certain group of taxpayers with the same socioeconomic characteristics would have paid on the same real income according to the actual tax regulations prevailing in different years. This has been suggested as the main way to measure real changes in taxation, although there are several alternative measures with essentially the same aim. Next an aggregate indicator of changes in income tax rates is constructed. It is designed to show how much the taxation of income has increased or reduced from one year to next year on average. The main question remains: How aggregation over all income levels should be performed? In order to determine the average real changes in the tax scales the difference functions (difference between actual and hypothetical taxation functions) were aggregated using taxable income as weights. Besides the difference functions, the relative changes in real taxes can be used as indicators of change. In this case the ratio between the taxes computed according to the new and the old situation indicates whether the taxation has become heavier or easier. The relative changes in tax scales can be described in a way similar to that used in describing the cost of living, or by means of price indices. For example, we can use Laspeyres´ price index formula for computing the ratio between taxes determined by the new tax scales and the old tax scales. The formula answers the question: How much more or less will be paid in taxes according to the new tax scales than according to the old ones when the real income situation corresponds to the old situation. In real terms the central government tax burden experienced a steady decline from its high post-war level up until the mid-1950s. The real tax burden then drifted upwards until the mid-1970s. The real level of taxation in 1975 was twice that of 1961. In the 1980s there was a steady phase due to the inflation corrections of tax schedules. In 1989 the tax schedule fell drastically and from the mid-1990s tax schedules have decreased the real tax burden significantly. Local tax rates have risen continuously from 10 percent in 1948 to nearly 19 percent in 2008. Deductions have lowered the real tax burden especially in recent years. Aggregate figures indicate how the tax ratio for the same real income has changed over the years according to the prevailing tax regulations. We call the tax ratio calculated in this manner the real income tax ratio. A change in the real income tax ratio depicts an increase or decrease in the real tax burden. The real income tax ratio declined after the war for some years. In the beginning of the 1960s it nearly doubled to mid-1970. From mid-1990s the real income tax ratio has fallen about 35 %.
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The steady bifurcation flows in a spherical gap (gap ratio sigma=0.18) with rotating inner and stationary outer spheres are simulated numerically for Re(c1)less than or equal to Re less than or equal to 1 500 by solving steady axisymmetric incompressible Navier-Stokes equations using a finite difference method. The simulation shows that there exist two steady stable flows with 1 or 2 vortices per hemisphere for 775 less than or equal to Re less than or equal to 1 220 and three steady stable flows with 0, 1, or 2 vortices for 1 220
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近年来,随着对作物重茬(连年种植)障碍原因的深入研究,植物的化感作用越来越受到国内外众多学者的重视。而作为重要调料和药用植物的生姜,其连作障碍也备受关注,系统地研究生姜化感作用将有助于理解和最终解决生姜连作障碍问题。本文通过研究生姜不同部位、不同浓度的水浸液对与其间作的两个物种(大豆和四季葱)种子的萌发及幼苗生长的影响,从而证明生姜化感作用的存在;并通过温室盆栽实验研究了生姜的自毒作用(即研究生姜不同部位、不同浓度的水浸液对其幼苗的形态、生理生化、光合作用、土壤酶、土壤微生物多样性及土壤养分的影响),从而揭示生姜退化和衰老的机制,并为生姜筛选出合适的间作物种提供科学依据,对生姜连作障碍提出科学的解决方法。主要研究结果如下: 1. 与对照相比,生姜所有部位(根茎、茎、叶)、所有浓度(10、20、40、 80 g l-1)的水浸液均抑制了大豆种子和葱籽的萌发率、幼苗生长、水分吸收和脂肪酶活性,并且其抑制程度随着水浸液浓度的增加而增强,其生姜各部位水浸液抑制效应的强弱顺序为茎>叶>根茎。这一结果表明生姜根茎、茎、叶含有能够抑制大豆种子和葱籽种子萌发和幼苗生长的水溶性化感物质。根茎是生姜的主要收获部位,而生姜的残株(主要是茎和叶)应该从大田中处理掉以减轻其抑制效应。生姜水浸液中主要化感成分包括:根茎水浸液中主要是丁香酸和伞花内脂;茎水浸液中主要是阿魏酸,且其含量最高为73.4 ug/g;叶水浸液中除了阿魏酸,其他六种物质均检测出来,但含量较高的主要有丁香酸、伞花内脂和香豆酸。 2. 生姜茎和叶不同浓度的水浸液均显著抑制了生姜幼苗的株高、每株叶片数和叶面积,其抑制程度随着水浸液浓度的增加而有所增强,而生姜幼苗每株分枝数差异不显著;同时生姜水浸液也极大程度地影响了生姜幼苗的生物量(包括地下生物量、地上生物量和总生物量,均为鲜重)。在同一浓度下,茎水浸液对生姜幼苗形态指标及生物量指标均显示出最强的抑制作用,叶水浸液次之,根茎水浸液最弱。与对照相比,低浓度的生姜根茎水浸液提高了生姜幼苗叶片内四种抗氧化酶(SOD、POD、CAT、APX)活性,高浓度的根茎水浸液抑制了四种抗氧化酶活性,而茎和叶水浸液均随着浓度的增加而抑制了四种抗氧化酶活性,三种水浸液均随着浓度的增加降低了生姜幼苗叶片内叶绿素的含量,而增加了生姜幼苗叶片的相对电导率和丙二醛含量。同时,三种水浸液均随着浓度的增加降低了生姜幼苗的光合参数(包括胞间CO2浓度、气孔导度、蒸腾速率及净光合速率)。 3. 三种生姜水浸液对所测六种土壤酶活性均产生了不同程度的影响,其中影响最大的是酸性磷酸酶和蔗糖酶,在10 g l-1 时就达到了显著水平,并且所有酶均有随着水浸液浓度增加而增大的趋势;相同部位的水浸液随着浓度的增加,细菌和真菌的数量呈增加趋势,而放线菌的数量呈减少趋势;三种生姜水浸液均随着浓度的增加降低了土壤中有机质的含量,加剧了土壤中硝态氮含量的积累,根茎水浸液对土壤有效磷、速效钾和铵态氮均显示出低浓度提高其含量而高浓度降低其含量的趋势,而茎和叶水浸液则随着浓度的增加均降低了其含量。 4. 与生姜单作相比,所有间作系统均在旺盛生长期和收获期不同程度地提高了土壤酶活性,同时也增加了土壤细菌数量及土壤微生物总数但不显著;所有间作系统在旺盛生长期和收获期均不同程度地影响了土壤真菌及放线菌数量(增加或减少),所有间作系统间的多样性指数差异不显著,除了旺盛生长期四种作物(生姜-大豆-四季葱-大蒜)的间作模式显著降低了多样性指数,其值仅为生姜单作的33.18%;生姜与大豆间作不仅提高了19.6%的生姜产量而且获得了较好的经济效益,并且,所有间作系统均显著抑制了生姜姜瘟病的发生。 5. 不同栽培模式不同程度地影响了收获期生姜的株高、分枝数、根茎产量及内在品质。其中处理2显著地促进了生姜的分枝(10.5%),同时处理2、3和4也促进了生姜的生长(株高分别增加了15.0%、11.4%和14.0%),并且这三个处理提高了生姜的产量;处理2和3能有效提高生姜块茎中维生素C(分别较单作生姜显著提高了3.29%和4.05%)、处理3显著提高了可溶性糖(8.2%)、姜辣素(4.6%)和蛋白质等有益物质的含量,降低硝酸盐有害物质的含量(处理2显著降低了14.0%),改善了姜块的外观和内在品质。并且,生姜与大豆间作具有最高的纯收入和产投比,分别较生姜单作提高了24.80%和8.8%。Recently, allelopathy has been more and more paid attentions by national and foreign scholars with profound research on reasons of crop replanted (continuous planted) obstacle. Ginger rhizome is valuable all over the world either as a spice or herbal medicine and ginger replanted obstacle is also paid attentions. Systematic research on ginger allelopathy will contribute to understanding and ultimate solving problem of ginger replanted obstacle. The effects of ginger aqueous extracts with different parts and concentrations on seed germination and early seedling growth of soybean and chive were studied in this article to testify that ginger existed allelopathy. Furthermore, ginger autotoxicity was also studied by pot experiment in greenhouse (namely research on effects of ginger aqueous extracts with different parts and concentrations on morphological indexes, physiological and biochemical indexes, photosynthesis, soil enzymes, soil microbial diversity and soil nutrients) to reveal mechanism of ginger degeneration and senescence, provide scientific basis for selecting appropriate intercropping species and put forward scientific resolvent for ginger replanted obstacle. The main results were as follows: 1. All aqueous extracts at all concentrations inhibited seed germination, seedling growth, water uptake and lipase activity of soybean and chive compared with the control, and the degree of inhibition increased with the incremental extracts concentration. The degree of toxicity of different ginger plant parts can be classified in order of decreasing inhibition as stem>leaf>rhizome. The results of this study suggested that rhizome, stem and leaf of ginger contained water soluble allelochemicals which could inhibit seed germination and seedling growth of soybean and chive. The rhizome is the main harvested part of ginger. The residue (mainly stems and leaves) of the ginger plant should be removed from the field so as to diminish its inhibitory effect. The main allelopathic components of three kind of aqueous extracts were as follows: Rhizome extract chiefly contained syringic acid and vmbelliferone and stem extract mainly contained frulic acid whose content was the highest (73.4 ug/g). The other six substances were detected except of frulic acid, but only contents of syringic acid, vmbelliferone and p-coumaric acid were higher. 2. Stem and leaf aqueous extracts of ginger with different concentrations significantly inhibited plant height, leaf numbers per plant and leaf area, and the degree of inhibition increased with the incremental extracts concentration. However, tiller number per plant of ginger seedling showed no significant difference. At the same time, ginger aqueous extracts also influenced biomass including under-ground biomass, above-ground biomass and total biomass (fresh weight) to a large extent. Under the same concentration, stem aqueous extract showed the mostly inhibitory effect on morphological indexes and biomass indexes of ginger seedling. Rhizome aqueous extract showed the leastly inhibitory effect and leaf aqueous extract was intervenient. Enhanced concentration of ginger aqueous extracts significantly reduced total chlorophyll content, accompanying with increases in memberane permeability (REL) and lipid peroxidation (MDA). Compared with the control, rhizome ginger aqueous extract of lower concentration (10 g l-1) increased the activities of major antioxidant enzymes (superoxide dismutase, SOD; peroxidase, POD; catalase, CAT; ascorbate peroxidase, APX) of ginger leaf tissue and higher concentration inhibited the activities of four antioxidant enzymes. However, stem and leaf aqueous extract inhibited the activities of four antioxidant enzymes with increase in concentration. Meanwhile, enhanced concentration of ginger aqueous extracts significantly reduced photo-parameters of ginger seedling (including CO2 concentration, stoma conductivity, net photosynthesis rate and transpiration rate). 3. Rhizome, stem and leaf ginger aqueous extract showed different effect on six soil enzyme activities, and acid phosphatase and invertase showed significant effect when aqueous extract concentration got 10 g l-1. Furthermore, six soil enzyme activities increased with increase in aqueous extract concentration. Bcterial and fungi number tended to increase while antinomyces tented to decrease with the increase in aqueous extract concentration of identical part. Ginger aqueous extracts reduced soil organic matter content with increased concentration, accompanying with NO3-—N accumulation in soil. Rhizome aqueous extract showed the same tendency for available P, available K and NH4+—N, namely lower concentration increased their contents in soil and higher concentration reduced their contents. While stem and leaf aqueous extracts reduced their contents with the increamental concentration. 4. All intercropping systems increased soil enzyme activities to different extent both at VGS and at HS compared to solo ginger. All intercropping systems increased the colony numbers of soil bacteria and total of soil microbe but not significantly either at VGS or at HS. All intercropping systems increased the colony numbers of soil fungi and actinomytes to a different extent (increase or decrease) both at VGS and at HS. For DI, difference between all cultivation patterns and S-G was not significant either at VGS or at HS except that G-S-C-G whose value was only 33.18% of S-G at VGS significantly decreased. G-S not only increased ginger yield by 19.6% but also obtained better economic benefit. Furthermore, all intercropping systems significantly inhibited occurrence of bacterial wilt of ginger. 5. Different cultivated pattern influenced plant height, tiller numbers, rhizome yields and intrinsic quality of ginger. Treatment 2 significantly facilitated tiller occurring (10.5%). Treatment 2, 3 and 4 promoted ginger growth (plant height respectively increased 15.0%、11.4% and 14.0%) and enhanced rhizome yields. Treatment 2 and 3 effectively increased vitamin C content (significantly increased 3.29% and 4.05% compared to solo ginger). Treatment 3 significantly increased contents of beneficial substances such as soluble sugar (8.2%), gingerols (4.6%) and protein. Treatment 2 significantly decreased contents of deleterious substance namely nitrate (14.0%) and improved appearance and intrinsic quality of ginger rhizome. Furthermore, treatment 2 (ginger/soybean intercropping) could obtain better economic benefit and showed the highest net income and ratio of benefit and cost whose values respectively increased by 24.80% and 8.8% compared to solo ginger.
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The aims of this research were to explore Chinese lottery buyers’ and addictive buyers’ characteristics and influencing factors of lottery buying.Three studies were carried out: study 1 was to find out the psychological and behavioral characteristics of Chinese lottery buyers. Study 2 was to find out the psychological and behavioral characteristics of addictive lottery buyers. High addictive tendency group and control group were selected, and general information, personality traits and lottery buying behavior characteristics were compared between the two groups. Study 3 was to explore the influences of locus of control and coping style on Chinese lottery buyers’ addictive tendency. 7,160 subjects were rectuited from the Welfare Betting shops in 114 cities of the 31 provinces of China. It was found that: 1. The main characteristics of Chinese lottery buyers are: male, marride, non-religious, 26-45 years old, having at least high school level of education. 2. Chinese lottery buyer’s reasons of first buying were curiosity, to donate for charity, to have amusement, to chase big prize and others’ influence. At present the main reasons of lottery buying were charity, amusment and big prize. 3. 40 percent of Chinese lottery buyers spent more than 20% of their income on lottery. Higher income buyers spent more than the lower ones, but the lower income buyers’ ratio of lottery buying money per month was higher than that of the higher income ones. 4. Chinese high addictive lottery buyers’ characteristics were middle-aged, married, low educational and low-income males . 5. Lottery buyers’ buying behavior is reinforced with lottery winning ratio during the first lottery buying . The addictive tendency of lottery buying is unrelated with the length of lottery buying experience. 6. External control, negative coping style and education level, are associated with the high addictive lottery buying behavior.
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Résumé Depuis le début des années 1990, la recherche sur le développement régional a pris une importance considérable dans les disciplines de l’économie et de la géographie dans la plupart des pays. De nombreuses études ont été consacrées à ce sujet et l’on constate une approche analytique de plus en plus sophistiquée. Que les économies pauvres ont tendance à converger vers les pays riches, ou bien à diverger au fil du temps est une question qui a attiré l'attention des décideurs et des universitaires depuis quelques décennies. Convergence ou de divergence économique est un sujet d'intérêt et de débat, non seulement pour valider ou non les deux modèles principaux de croissance qui sont considérés comme concurrent (l’approche néo-classique et celle des approches de croissance endogène), mais aussi pour ses implications pour les publiques politiques. En se basant sur une analyse des politiques de développement régional et des analyses statistiques de la convergence et des disparités régionales, les objectifs de cette thèse sont de tenter de fournir une explication des différents processus et des modèles de développement économique régional poursuivis dans le cas de territoires immenses en utilisant le Canada et la Chine comme études de cas, d'entreprendre une analyse des différents facteurs et des forces motrices qui sous-tendent le développement régional dans ces deux pays, et d'explorer à la fois les réussites et les échecs apparents dans les politiques de développement régional en comparant et contrastant les expériences de développement régional et les modèles de ces deux pays. A fin d'atteindre cet objectif, la recherche utilise une approche multi-scalaire et des méthodes de mesure multidimensionnelle dans le cadre des analyses sur les disparités « régionales » entre les macro régions (sous-ensembles de provinces) des deux pays, des provinces et des régions urbaines sélectionnées, dans le but ultime d’identifier des problèmes existants en termes de développement régional et de pouvoir proposer des solutions. Les étapes principales de la recherche sont : 1. La cueillette des données statistiques pour le Canada et la Chine (incluant les provinces de Québec et de Xinjiang) pour une gamme d’indicateurs (voir ci-dessous). 2. D’entreprendre une analyse de chaque dimension dans les deux juridictions: Population (p.ex. composition, structure, changement); Ressources (p. ex. utilisation, exploitation de l’énergie); Environnement (p.ex. la pollution); et le Développement socioéconomique (p.ex. le développement et la transformation des secteurs clé, et les modèles de développement rural et urbain), et les disparités changeantes par rapport à ces dimensions. 3. La définition d’une typologie de différents types de région en fonction de leurs trajectoires de développement, ce qui servira pour critiquer l’hypothèse centre-périphérie. 4. Le choix d’une région métropolitaine dans chaque juridiction (province). 5. D’entreprendre une analyse temporelle des événements clé (politiques, investissements) dans chaque région et les facteurs impliqués dans chaque événement, en utilisant l’information documentaire générale et des agences institutionnelles impliqués actuellement et dans un passée récent. Cette étude a tenté d'expliquer les schémas et les processus des deux économies, ainsi que la présentation d'études de cas qui illustrent et examinent les différences dans les deux économies à partir de l’échelle nationale jusqu’au niveau régional et provincial et aussi pour certaines zones urbaines. Cette étude a essayé de répondre aux questions de recherche comme: Est-il vrai que les pays avec des plus grandes territoires sont associés avec des plus grandes disparités interrégionales? Quel est le résultat des comparaisons entre pays développés et pays en développement? Quels sont les facteurs les plus importants dans le développement économique de vastes territoires dans les pays développés et pays en développement? Quel est le mécanisme de convergence et de divergence dans les pays développés et, respectivement, les pays en développement? Dans l'introduction à la thèse, le cadre général de l'étude est présenté, suivie dans le chapitre 1 d'une discussion sur les théories et les concepts utilisés dans la littérature théorique principale qui est pertinent à l'étude. Le chapitre 2 décrit la méthodologie de recherche. Le chapitre 3 présente une vue d'ensemble des politiques de développement économique régional et les programmes du Canada et de la Chine dans des périodes différentes à différentes échelles. Au chapitre 4, la convergence des deux pays à l'échelle nationale et la convergence provinciale pour chaque pays sont examinés en utilisant différentes méthodes de mesure telles que les méthodes traditionnelles, la convergence bêta et la convergence sigma. Dans le chapitre le plus complexe, le chapitre 5, les analyses comparatives sont présentées à l'aide de données statistiques, à partir des analyses des cas régionaux et provinciaux retenus des deux pays. Au chapitre 6, ces dispositions sont complétées par une analyse des régions urbaines choisies, qui permet également des aperçus sur les régions les plus périphériques. Dans la recherche proposée pour cette thèse, la politique, la population, le revenu, l'emploi, la composition industrielle, l'investissement, le commerce et le facteur de la migration sont également pris en compte comme facteurs importants de l'analyse régionale compte tenu de la superficie du territoire des deux pays et les différences de population entre eux. Cette thèse a évalué dans quelle mesure les politiques gouvernementales ont réussi à induire la convergence régionale ou ont encore ont creusé davantage les disparités régionales, ce qui implique nécessairement une évaluation de la durabilité des patrons et des programmes de développement régional. Cette étude a également mis l'accent sur les disparités régionales et la politique de développement régional, les comparaisons entre pays, pour mesurer la convergence entre les pays et entre les régions, y compris l'analyse spatiale, d'identifier les facteurs les plus actifs tels que la population, les ressources, la politique, l'urbanisation, les migrations, l'ouverture économique et leurs différents rôles dans le développement économique de ces grands territoires (au Canada et Chine). Les résultats empiriques et les processus de convergence et de divergence offrent un cadre intéressant pour l'examen de la trajectoire de développement régionales et les disparités régionales dans les deux économies. L'approche adoptée a révélé les différentes mosaïques complexes du développement régional dans les deux pays. Les résultats de cette étude ont démontré que la disparité en termes de revenu régional est une réalité dans chaque zone géographique, et que les causes sont nombreuses et complexes. Les deux économies ont certains parallèles dans la mise en œuvre des politiques de développement économique régional, mais il existe des différences importantes aussi et elles se sont développées à différentes vitesses. Les deux économies se sont développées depuis la Seconde Guerre mondiale, mais la Chine a connu une croissance rapide que le Canada comme témoignent de nombreux indicateurs depuis 1980. Cependant, la Chine est maintenant confrontée à un certain nombre de problèmes économiques et sociaux, y compris les disparités régionales marquées, un fossé toujours croissant entre les revenus ruraux et urbains, une population vieillissante, le chômage, la pauvreté et la dégradation rapide de l'environnement avec toujours plus de demandes en énergie. Le développement économique régional en Chine est plus déséquilibré. Le Canada accuse un degré de disparités régionales et provinciales moins important que la Chine. Dans les cas provinciaux, il existe d'importantes différences et de disparités dans la structure économique et spatiale du Québec et du Xinjiang. Les disparités infra provinciales sont plus grandes que celles à l’échelle des provinces et des grandes régions (des sous-ensembles de provinces). Les mécanismes de convergence et de divergence dans les deux pays sont différents. Les résultats empiriques et les processus de convergence et de divergence offrent un cadre intéressant pour l'examen de la trajectoire de développement régionale et les disparités régionales dans les deux économies. Cette étude démontre également que l'urbanisation (les métropoles et les villes) s’avère être le facteur le plus actif et contribue à l'économie régionale dans ces grands territoires. L'ouverture a joué un rôle important dans les économies des deux pays. La migration est un facteur majeur dans la stimulation de l'économie des deux pays mais de façons différentes. Les résultats empiriques démontrent que les disparités régionales ne peuvent pas être évitées et elles existent presque partout. Il n'y a pas une formule universelle et de politiques spécifiques sont de mise pour chaque région. Mais il semble possible pour les décideurs politiques nationaux et régionaux d’essayer de maintenir l'écart à une échelle raisonnable pour éviter l'instabilité sociale.
Resumo:
Este documento plantea un modelo teórico de generales traslapadas en el que se resalta la importancia de la educación pública como instrumento para reducir las brechas salariales, asimismo, considera la relación inversa entre la desigualdad en la distribución del ingreso y el crecimiento económico de un país. Por último, resalta la importancia del capital humano como fuente del desarrollo de un país, en la medida que éste es un insumo para la producción y estimula la acumulación de capital físico.
Resumo:
The administrative model of the Brazilian State, based on regulation, strives, with the application of the efficiency principle and assessment of economical costs, to give a greater effectiveness to fundamental rights by implementing public policies.The objective of this work is to analyze the role of Oil royalties in the context of the Brazilian State, considering that, being an income gap, they might work as a device that promotes intra/intergenerational justice. By means of a correct and efficient distribution and application in the national region, the royalties constitute financial resources available for implementing public policies that intend to guarantee the fundamental rights; above all, with the discovery of the Pre-salt basin and the indisputable rise in the tax revenues arising from Oil exploration. In the making of this work, the theoretical-descriptive methodology is observed, grounded in a critical-reflexive analysis about Constitutional Law and Oil Law. This work analyzes the administrative model of the Brazilian State, the theory of costs of fundamental rights and the theoretical aspects about royalties, such as: the ethical and economical fundamentals, the distribution and destination of revenues, considering the oil exploration scenario before and after the discovery of the pre-salt basin. it is verified, with the present work, the importance of the creation of a new regulatory framework, and consequently the creation of a sovereign wealth fund, which arises to re-evaluate the application of the current norms of Oil revenue distribution. Still, it is imperative that the mechanisms for controlling the application of royalties are defined in detail, so that those can fully admit the objectives of intra/intergenerational justice. Furthermore, it is emphasized that this process should develop from the efficiency principle viewpoint, as well as the principle of reducing social and regional differences, given that the Oil revenues might be used to ensure fundamental social rights, by implementing public policies that are aligned with the development recommended by the Federal Constitution
Resumo:
Brazilian fish farms presented an accelerated development during the early 90's, mainly because of the increase in fee-fishing operations. To meet the demand of this market, fish production and supply became excessive and, as a consequence, the number of fee-fishing operations, farmers and the final selling price, decreased. This study analyzes the technical aspects, production cost, profitability and economic viability of the production of piaucu (L. macrocephalus) in ponds, based on information from a rural property. Feeding and fingerling costs amount to approximately 47.1 % of the total production cost, representing together with the final selling price the most important factor affecting profitability. The payback period was 8.3 years, the liquid present value US$ 291.07, the internal return margin 9%, and the income-outcome ratio was 1.01, which represents an unattractive investment as a projection based on current conditions. The improvement in productive efficiency enhances the economic valuation index, and that the relative magnitude of cost and income are the most important points for the economic viability of the studied farm.