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Income and wealth volatility: evidence from Italy and the U.S. in the past two decades

机译:收入和财富波动性:来自意大利和美国的证据于过去二十年

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摘要

Income volatility and wealth volatility are central objects of investigation for the literature on income and wealth inequality and dynamics. Here we analyse the two concepts in a comparative perspective for the same individuals in Italy and the U.S. over the last two decades. We find that in both countries wealth volatility reaches significantly higher values than income volatility, the effect being mostly driven by changes in the market value of real estate assets. We also show that there is more volatility in both dimensions in the U.S. and that the overall trend in both countries is increasing over time. We conclude by exploring volatility in consumption.
机译:收入波动和财富波动是对收入和财富不平等和动态的文献调查的中央对象。 在这里,我们在过去二十年中分析了意大利和美国的同一个人的比较视角。 我们发现,在两个国家,财富波动率明显高于收入波动,这一效果主要受房地产资产市场价值变化的推动。 我们还表明,美国两种尺寸都有更多的波动性。两国的整体趋势随着时间的推移而增加。 我们通过探索消费波动性的结论。

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