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Risk-adjusted poverty in Argentina: measurement and determinants
- 2006
- Signatura:LC/L.2589-P/I
- 39 pp.
- N.Venta: E.06.II.G.118
- Series
- Serie Financiamiento del Desarrollo Nº182
- ISBN: 92-1-121697-9
- ECLAC
- ISSN: 1564-4197
Resumen
This paper presents a methodology for adjusting measures of income and poverty for the risk faced by a household. The approach draws on the standard economic concept of risk aversion, and it is based on the intuition that households will prefer a steady stream of income to a variable one with the same mean. Relying on a Constant Relative Risk Aversion utility function, we use panel data for Argentina to compute risk-adjusted income and poverty measures. At the aggregate level, we find that taking risk into account substantially increases the poverty headcount. Moreover, a regression analysis suggests that many household characteristics are correlated not only with the average income of the household over time, but also with its variability.
Categorías
Unidad de Distribución de la CEPAL, Casilla 179-D, Vitacura, Santiago, Chile.
Correo electrónico: publications
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