Spatial Dependence in the Evolution of Regional Income Distributions
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Cited by:
- Katarzyna Kopczewska, 2014. "L-moments skewness and kurtosis as measures of regional convergence and cohesion," Statistica Neerlandica, Netherlands Society for Statistics and Operations Research, vol. 68(4), pages 251-266, November.
- Frank Bickenbach & Eckhardt Bode, 2003. "Evaluating the Markov Property in Studies of Economic Convergence," International Regional Science Review, , vol. 26(3), pages 363-392, July.
- John V. Duca & Jason L. Saving, 2008. "Stock Ownership And Congressional Elections: The Political Economy Of The Mutual Fund Revolution," Economic Inquiry, Western Economic Association International, vol. 46(3), pages 454-479, July.
- Bickenbach, Frank & Bode, Eckhardt, 2001.
"Markov or not Markov - this should be a question,"
Kiel Working Papers
1086, Kiel Institute for the World Economy (IfW Kiel).
- Bode, Eckhardt & Bickenbach, Frank, 2002. "Markov or not Markov - this should be a question," ERSA conference papers ersa02p024, European Regional Science Association.
- Leonardo Monasterio, 2010. "Brazilian spatial dynamics in the long term (1872–2000): “path dependency” or “reversal of fortune”?," Journal of Geographical Systems, Springer, vol. 12(1), pages 51-67, March.
- Alasia, Alessandro, 2003. "Sub-Provincial Income Disparity in Canada: Evidence From 1992 to 1999," Agriculture and Rural Working Paper Series 28057, Statistics Canada.
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More about this item
Keywords
convergence; spatial autocorrelation;JEL classification:
- R0 - Urban, Rural, Regional, Real Estate, and Transportation Economics - - General
- R1 - Urban, Rural, Regional, Real Estate, and Transportation Economics - - General Regional Economics
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