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  • About
  • The Global ETD Search service is a free service for researchers to find electronic theses and dissertations. This service is provided by the Networked Digital Library of Theses and Dissertations.
    Our metadata is collected from universities around the world. If you manage a university/consortium/country archive and want to be added, details can be found on the NDLTD website.
61

Dislocated office workers: barriers to retraining and reemployment

Hall, Shirley L. January 1989 (has links)
The United States is experiencing continuous technological, economic, and social changes that have resulted in structural unemployment. Between January 1979 and January 1984, 11.5 million workers lost their jobs due to plant closings or relocation, abolition of a position or shift, or slack work. Personal and family economic, psychological, social, and health difficulties arise from sudden unexpected job loss. This study was designed to examine and contribute knowledge of the barriers to retraining and reemployment for dislocated office workers. A purposive sample of 10 dislocated office workers who were laid off in 1982 and 1985 from their jobs in southeastern Indiana was selected. Qualitative research techniques were utilized to obtain detailed interview information from them. An open-ended response instrument was used for personal interviews. The questions were aimed at identifying the factors most associated with barriers to retraining and reemployment of dislocated office workers. The interviews were transcribed Verbatim, then coded and categorized. The data were then compared and contrasted to identify emerging themes that described pertinent experiences and problems encountered by dislocated office workers. The findings were described and discussed through use of Verbatim quotations. Based on the findings, recommendations for removing barriers to retraining and reemployment were prepared. Recommendations for action included: (a) dislocated workers being offered personal counseling; (b) employer-sponsored outplacement centers being available to those facing imminent displacement; (c) Vocational-technical institutes and community colleges instituting special programs for dislocated workers and conducting advertising to inform dislocated workers about the availability of such programs; and (d) state employment security personnel who process claims of dislocated workers receiving sensitivity training. Recommendations for further research included: (a) whether a larger sample or a sample from another employment setting would produce similar findings; (b) how the communities are affected by large reductions in force; and (c) the extent and magnitude of the problem of loss of retirement benefits as a result of plant closings and reductions in force. / Ed. D.
62

A theoretical analysis of the labor market wage and employment effects of Title VII of the Civil Rights Act of 1964

Savitsky, Jerome January 1989 (has links)
The dissertation explores the labor market effects of Title VII of the Civil Rights Act of 1964, which prohibits employers from practicing wage discrimination and employment dis- crimination on the basis of race, sex, religion, national origin or color. A theoretical model of the equal wage and the equal employment provisions of Title Vll is developed and applied to the labor input decisions of a discriminating firm. The enforcement model is then extended to consider the market-wide wage and employment effects of Title Vll. The analysis raises questions as to whether Title Vll, as it is enforced by the Equal Employment Opportunity Commission, can in fact increase the market wages and improve the market employment opportunities of the workers who face discrimination in the labor market. The labor market wage and employment effects of Title VII under alternate enforcement strategies are also examined. / Ph. D.
63

The Impact of Enterprise Zones on Employment

Van Allen, Terry William 01 January 1994 (has links)
The objectives of this study are to investigate the impact of Enterprise Zones (EZs) on the employment of zone residents in 14 states and 60 communities. The author's investigation constitutes the "first" national study to evaluate the employment impacts on zone residents. (A comparative, supplemental, single case study on new jobs for zone residents in Portland, Oregon has been added in Appendix B.) The results show that the impact of EZs on decreasing the unemployment rates of zone residents is significant. Also, the interventionist factors of length of time since designation, type of incentives, and number of incentives are all significant indicators of different performances between zones. The employer-based incentives of property tax abatements and income tax credits are the types of incentives that are significant. However, the descriptive factors of land use, population, and geographic size are not significantly influential. On average, the predictive model shows that a full-incentives package would result in an EZ decreasing unemployment to the level of its surrounding community in just over ten years. (The supplemental single case study also shows that the majority of new hires are zone residents.) The major policy implications and recommendations from this study are: (1) That a full-scale incentives package with employer-based property tax abatements and income tax credits, along with other incentives, should be implemented by all state EZ programs; (2) That more economic incentives should be developed at the federal level to enhance state EZ programs; (3) That more targeted areas should be designated as EZs by the federal program, and that all states should enact targeted EZ programs; (4) That annual unemployment data reports on EZs and their surrounding communities should be mandated by the federal and state governments. (The major recommendations from the supplemental single case study are that specific data should be mandated and derived on new hires and zone residents for all EZ programs, and that a formal job referral and training provider network should be provided for all EZ programs.)
64

Monetary reformers, amateur idealists and Keynesian crusaders: Australian economists' international advocacy, 1925-1950 / Australian economists' international advocacy, 1925-1950

Turnell, Sean January 1999 (has links)
Thesis (PhD)--Macquarie University, Division of Economic and Financial Studies, Dept. of Economics, 1999. / Bibliography: p. 232-255. / Introduction -- Cheap money and Ottawa -- The World Economic Conference -- F.L. McDougall -- The beginnings of the 'employment approach' -- Coombs and consolidation -- Bretton Woods -- An international employment agreement -- The 'employment approach' reconsidered -- The Keynesian 'revolution' in Australia -- Conclusion. / Between 1925 and 1950, Australian economists embarked on a series of campaigns to influence international policy-making. The three distinct episodes of these campaigns were unified by the conviction that 'expansionary' economic policies by all countries could solve the world's economic problems. As well as being driven by self-interest (given Australia's dependence on commodity exports), the campaigns were motivated by the desire to promote economic and social reform on the world stage. They also demonstrated the theoretical skills of Australian economists during a period in which the conceptual instruments of economic analysis came under increasing pressure. -- The purpose of this study is to document these campaigns, to analyse their theoretical and policy implications, and to relate them to current issues. Beginning with the efforts of Australian economists to persuade creditor nations to enact 'cheap money' policies in the early 1930s, the study then explores the advocacy of F.L. McDougall to reconstruct agricultural trade on the basis of nutrition. Finally, it examines the efforts of Australian economists to promote an international agreement binding the major economic powers to the pursuit of full employment. -- The main theses advanced in the dissertation are as follows: Firstly, it is argued that these campaigns are important, neglected indicators of the theoretical positions of Australian economists in the period. Hitherto, the evolution of Australian economic thought has been interpreted almost entirely on the basis of domestic policy advocacy, which gave rise to the view that Australian economists before 1939 were predominantly orthodox in theoretical outlook and policy prescriptions. However, when their international policy advocacy is included, a quite different picture emerges. Their efforts to achieve an expansion in global demand were aimed at alleviating Australia's position as a small open economy with perennial external sector problems, but until such international policies were in place, they were forced by existing circumstances to confine their domestic policy advice to orthodox, deflationary measures. -- Secondly, the campaigns make much more explicable the arrival and dissemination of the Keynesian revolution in Australian economic thought. A predilection for expansionary and proto-Keynesian policies, present within the profession for some time, provided fertile ground for the Keynesian revolution when it finally arrived. Thirdly, by supplying evidence of expansionary international policies, the study provides a corrective to the view that Australia's economic interaction with the rest of the world has largely been one of excessive defensiveness. -- Originality is claimed for the study in several areas. It provides the first comprehensive study of all three campaigns and their unifying themes. It demonstrates the importance to an adequate account of the period of the large amount of unpublished material available in Australian archives. It advances ideas and policy initiatives that have hitherto been ignored, or only partially examined, in the existing literature. And it provides a new perspective on Australian economic thought and policy in the inter-war years. / Mode of access: World Wide Web. / 255 p
65

Papel anticíclico do emprego e renda gerados por micro e pequenas empresas em Sergipe

Silva Júnior, José Jucundo da 05 September 2013 (has links)
Small companies in Brazil are lodged by Complementary Law No. 123/2006 that classifies them as a maximum limit of annual gross invoicing. That law also provides the simplification in the inflow of federal, state and municipal taxes and reduction of the tax burden through resignation of tributes. Through that law, it is recognized the social role of the small companies, including the potential generator of jobs, especially in crises. In this sense, this thesis discusses the role of small enterprises in the generation of employment and income in Sergipe and, this way, the impact of possible reduction in taxes, with the relief of part of the ICMS, in periods of economic slowdown. For this, are used data available by INSS, which encompass the entire quantitative micro-enterprises of the State. Are also used data supplied by the State Secretary of Finance, concerning the taxpayers of ICMS, the ICMS collected, value added tax and cadastral information. The Laffer Curve is adopted as an auxiliary instrument for checking the increase of economic activity before a tax relief. It was detected the importance of the small enterprises of Sergipe, that are part of the "Simples Nacional", in the generation of employment and income, the countercyclical character of the small enterprises and the evidences that there is room for progress in the reduction of taxes for the same, in order to guarantee the increasing levels of employment and income. / As pequenas empresas no Brasil estão albergadas pela Lei Complementar nº 123/2006 que classifica as mesmas conforme um limite máximo de faturamento bruto anual. Proporciona ainda, aquela Lei, simplificação na arrecadação dos tributos federais, estaduais e municipais e diminuição do ônus tributário através de renúncia de tributos. Reconhece-se com aquela Lei o papel social, inclusive o potencial gerador de empregos, principalmente em crises, das pequenas empresas. Nesse sentido, a presente Dissertação, discute o papel das pequenas empresas na geração de emprego e renda em Sergipe e o impacto neste sentido de possíveis reduções de impostos, com a desoneração de parte do ICMS, em períodos de desaquecimento da economia. Para tanto, são utilizados dados disponibilizados pelo INSS, que abrangem todo o quantitativo de microempresas do Estado. Também são utilizados dados fornecidos pela Secretaria de Estado da Fazenda dos contribuintes de ICMS, sobre o ICMS recolhido, valor adicionado fiscal e outras informações cadastrais. A Curva de Laffer é adotada como instrumento auxiliar de verificação. Detectou-se importância na geração de emprego e renda das pequenas empresas sergipanas do Simples, o caráter anticíclico da mesma e indícios de que há espaço para avanços na redução dos impostos para as mesmas, de modo a garantir aumentos do nível de emprego e renda.
66

Analysis of the impact of international trade on employment and wages in the South African fruit industry,1990-2018

Molepo, Nkoti Solly January 2021 (has links)
Thesis (Ph. D. Agriculture (Agricultural Economics)) -- University of limpopo, 2021 / The study analysed the effects of international trade on employment and wages in the fruit industry of South Africa. However, the study prioritised six industries within the fruit industry which are pertinent contributors to economic growth, international trade, employment and source of wages. The six types of fruits considered for this study are apples, apricots, avocadoes, oranges, pears and table grapes. The relationship between international trade and labour market is continuously significant, especially with increasing number of trade agreements amongst countries and regions. The international trade has been identified by many economic authors to be amongst main contributors of employment and wage source in the exporting countries. The overarching theoretical framework guiding research on the impact of international trade on employment and wages is based on Krugman’s theory of imperfect competition. The theory states that international trade on similar products amongst developed and developing countries works in favour of the developed countries based on the following arguments: developing countries export primary commodities; developed countries export beneficiated goods; firms in developed countries are mostly vertically integrated with a higher market share. The overall aim of the study is to analyse the effects of international trade on employment and wages in the South African fruit industry between the period between 1990 and 2018. There are five objectives for the study and they are broken down as follows: outlining the performance of the South African fruit industry in terms on international trade, employment and wages; secondly, to analyse the impact of international trade flow on employment and wages in the selected six South African fruit industries; thirdly, to determine the causality effects amongst employment, wages and exports within the six South African fruit industry; fourthly, to determine the response of employment, exports and imports on changes in wages within the selected six South African fruit industries; and lastly, to determine the effects of European Union’s Trade Development and Cooperation Agreement on wages in the South African fruit industry. vi The study adopted various analytical techniques to address the objectives. Those analytical techniques were used as follows: descriptive statistics, to profile the six prioritised fruit industries; error correction model, to analyse the impact of international trade flow on employment and wages in the selected six South African fruit industries; granger causality test, to determine the causality effects amongst employment, wages and international trade within the six South African fruit industry; two-staged least squares approach, to determine the response of employment, exports and imports on changes in wages within the selected six South African fruit industries and ordinary least squares, to determine the effects of European Union’s Trade Development and Cooperation Agreement on wages in the South African fruit industry. The findings from descriptive analysis show that all six prioritised fruit industries contributes significantly to the international trade, employment and wages in South Africa. The error correction model for all six fruit industries indicates the existence of a long-run relationship amongst total employment, wages and international trade. Therefore, findings for all fruit industries show that exports output lead to an increase in total employment in a long run, while imports output lead to a decrease in total employment in a long run. The granger causality test for all six fruit industries highlight that there is a causality effect between total employment and exports output. However, there is no causality effect between total employment and imports output, even between exports output and imports output. The results from the two-staged least squares indicate that the wages are affected positively by the exports output. However, there are other factors that affect wages positively such as net realisation from exports, local sales, total gross value of production and foreign direct investment. The wages are negatively affected by imports output, average exchange rate and average prices. The ordinary least squares for all estimated fruit industries show that the volumes of exports to the European Union market affect the wages positively, vii while other variables that are positively affected by the exports to EU market include amongst others the production volumes, productivity, total area planted and foreign direct investment. However, the volumes of exports to the European Union market negatively affect the processing volumes of the fruit industries in South Africa, domestic consumption per capita and average prices. Conclusively, it is recommended that fruit producers, with support of government institutions responsible for trade promotions, should strengthen trade cooperation with various trading blogs, more particularly the European Union; United Kingdom; countries in Asia and Middle East; and African states. This exercise will highly enhance the capacity of South African fruit producers to exploit the untapped international trade opportunities from different markets. Furthermore, it is prudent to recommend that the government should continue to regulate the labour market so that employees could benefit from net realisation from international trade. This will probably reduce the instances of unfair labour practices such as lower wages, child labour, abnormal working hours and overall poor working conditions.
67

The local communities' perceptions on the role and benefits of tourism in the protected areas: a case of the Kruger National Park.

Khashane, Rofhiwa Stein 04 1900 (has links)
M. Tech. (Department of Tourism and Hospitality Management, Faculty of Human Sciences), Vaal University of Technology. / Tourism is poised to play a greater role than ever before in terms of job creation, empowerment and economic growth, both on the global stage and in South Africa. In 2011, the tourism sector worldwide supported 258 million direct, indirect and induced employment opportunities. Community participation should be considered necessary to obtain community support, and the acceptance of tourism development projects, in addition, helps to ensure that the benefits (employment and/or entrepreneurships) are related to the local community’s needs. The main aim of the current study was to analyse the local communities’ perceptions of the role and benefits of tourism in the protected areas concerned. The analysis was approached on the basis of surveying the local communities concerned. The quantitative approach adopted as the chosen research method ensured that the required descriptive statistics could be derived from the research material available. A non-probability sampling approach was used to collect the data involved. The study was conducted in two villages, Ka-Mhinga and Ka-Matiani, adjacent to the Kruger National Park. Based on the results obtained, the surveyed community members of Ka-Mhinga and Ka- Matiani were found to share similar perceptions regarding the broader communities’ participation in, and decision-making control of the tourism operations in the area. The female participants agreed significantly more strongly than did the male participants concerning which aspects impeded an appreciation of the benefits of tourism. Such agreement probably indicates that the female participants perceived themselves as being worse affected by tourism than were the male participants. The participants from the two villages who perceived themselves as being excluded from the managerial decisions taken agreed significantly more strongly with the exclusion factor than the participants who perceived themselves as having been included in the managerial decisions taken regarding the protected areas. The results obtained in the present study indicate that the communities from the two villages receive minimal benefits from tourism. Some of the residents noted that they were not in receipt of what they had been promised when the Kruger National Park opened. The participants from the above-mentioned villages agreed that the locals were not employed in the protected area, and that the tourism goods which were sold at the Punda Maria information centre were not produced by the local residents, as well as that the Park’s management were influenced by nepotism in their employment of workers. The study concluded that an education and training budget should be provided by both the government and the protected areas. The involvement of the communities adjacent to the Kruger National Park in tourism planning would be likely to promote their participation in, and their beneficiation from, tourism. The community residents of Ka- Mhinga and Ka-Matiani should form part of the related control processes and decisio-nmaking, so as to improve the level of benefits obtained from tourism, which would enable them to enjoy the benefits of the Kruger National Park. Despite the study revealing the benefits of tourism gleaned by the two villages, engaging in an increased number of initiatives is likely to elicit even more benefits, with all the investors participating in the operation, execution, monitoring, and management of tourism activities as a form of collaboration.
68

Microeconomic Heterogeneity and Macroeconomic Policy

Morrison, Wendy A. January 2024 (has links)
This dissertation is part of a growing body of research studying the implications of micro heterogeneity - differences between different types of households and workers - for macro economic policy. By incorporating heterogeneity into monetary and fiscal policy frameworks, I am able to study both the distributional consequences of policy and uncover ways in which differences between households change policy transmission mechanisms. In the first chapter, I show that growing differences across the income distribution in workers' substitutability with capital alters the strength of a key monetary policy transmission mechanism. In the second chapter, I highlight and measure a new trade-off between redistribution policies and long-run investment stemming from differences in households' propensity to save out of permanent income. In the third chapter, joint with Jennifer La'O, we show that when the degree of labor income inequality changes over the business cycle, and fiscal policy is unable to respond to these changes, optimal monetary policy should take this inequality into account. Chapter 1 examines how heterogeneity in worker substitutability with capital affects the labor income channel of monetary policy. Empirically, I show that workers performing routine tasks see smaller labor income gains than other workers following a monetary expansion and have higher marginal propensities to consume (MPC). I show that this relationship dampens the role that the labor market plays in monetary policy transmission. I embed capital-task complementarity in a medium-scale HANK model calibrated to match the respective capital-labor elasticities and labor shares of routine and non-routine workers. This worker heterogeneity reduces the size of the labor income channel 25 percent. Chapter 2 studies the trade-offs associated with income redistribution in an overlapping generations model in which savings rates increase with permanent income. By transferring resources from high savers to low savers, redistribution lowers aggregate savings, and depresses investment. I derive sufficient conditions under which this savings behavior generates a welfare trade-off between permanent income redistribution and capital accumulation in the short and long run. I quantify the size of this trade-off in two ways. First, I derive a sufficient statistic formula for the impact of this channel on welfare, and estimate the formula using U.S. household panel data. When redistribution is done with a labor income tax, the welfare costs associated with my channel are around 1/3 the size of those associated with labor supply distortions. Second, I solve a quantitative overlapping generations model with un-insurable idiosyncratic earnings risk in which savings rates increase with permanent income calibrated to the U.S. in 2019. In this setting, I find that around 17 percent of the trade-off between labor income redistribution and average consumption can be attributed to my channel. In Chapter 3, joint with Jennifer La'O, we study optimalmonetary policy in a dynamic, general equilibrium economy with heterogeneous agents. All heterogeneity is ex-ante: workers differ in type-specific, state-contingent labor productivity, yet markets are complete. The fiscal authority has access to a uniform, state-contingent lump-sum tax (or transfer), but linear taxes are restricted to be non-state contingent. We derive sufficient conditions under which implementing flexible-price allocations is optimal. We show that such allocations are not optimal when the relative labor income distribution varies with the business cycle; in such cases, optimal monetary policy implements a state-contingent mark-up that co-moves positively with a sufficient statistic for labor income inequality.
69

Essays on heterogeneity in labor markets

Sengul, Gonul, 1980- 16 October 2012 (has links)
My dissertation focuses on the heterogeneity in labor markets. The first chapter proposes an explanation for the unemployment rate difference between skill groups. Low skill workers (workers without a four year college degree) have a higher unemployment rate. The reason for that "... is mainly because they (low skill workers) are more likely to become unemployed, not because they remain unemployed longer, once unemployed" (Layard, Nickell, Jackman, 1991, p. 44). This chapter proposes an explanation for the difference in job separation probabilities between these skill groups: high skill workers have lower job separation probabilities as they are selected more effectively during the hiring process. I use a labor search model with match specific quality to quantify the explanatory power of this hypothesis on differences in job separation probabilities and unemployment rates across skill groups. The second chapter analyzes the effects of one channel of interaction (job competition) between skill groups on their labor market outcomes. Do skilled workers prefer unskilled jobs to being unemployed? If so, skilled workers compete with unskilled workers for those jobs. Job competition generates interaction between the labor market outcomes of these groups. I use a heterogeneous agents model with skilled and unskilled workers in which the only interaction across groups is the job competition. Direct effects of job competition are reducing skilled unemployment rate (since they have a bigger market) and increasing the unskilled unemployment rate (since they face greater competition). However number of vacancies respond to job competition in equilibrium. For instance, unskilled firms have incentives to open more vacancies since filling a vacancy is easier if there is job competition. Thus how unskilled unemployment and wages are affected by job competition depends on which effect dominates. The results for reasonable parameter values show that job competition does reduce the average unemployment rate. It reduces the skilled unemployment rate more, generating an increase in unemployment rate inequality. However, the employment rate at skilled jobs is unaffected. The third chapter focuses on skill biased technological change. Skill biased technological change is one of the explanations for the asymmetry between labor market outcomes of skill groups over the last few decades. However, during this time period there were also skill neutral shocks that could contribute to these outcomes. The third chapter analyzes the effects of skill biased and neutral shocks on overall labor market variables. I use a model in which skilled and unskilled outputs are intermediate goods, and final good sector receives all the shocks. A numerical exercise shows that both skilled and unskilled unemployment rates respond to shocks in the same direction. The response of unemployment rate to skill neutral shocks is bigger than the response to skill biased shocks for both skill groups. However, the unskilled unemployment changes more than the skilled unemployment rate as a response to skill neutral shocks. Thus, skill neutral shocks reduce the unemployment rate gap between skill groups. / text
70

Institutions and heterogeneity in the labour market / Institutions et hétérogéneité dans le marché du travail

Garnero, Andrea 16 January 2015 (has links)
EXECUTIVE SUMMARY <p><p>This thesis aims to give a contribution to the academic debate on three specific issues related to institutions and heterogeneity in the labour market. In the first part it analyses the effect of employment protection legislation on worker flows, i.e. the rate of worker reallocation, in OECD countries. The second part revisits the debate on minimum wages in Europe bringing new evidence on systems without a statutory minimum wage and comparing them with countries with a statutory one. The third part delves in a relatively newer debate, about the pros and cons of workforce diversity for firms, bringing some evidence on the effect of diversity on firm productivity and wages in Belgium and France.<p><p>Chapter 1 exploits a unique dataset including cross-country comparable hiring and separation rates by type of transition for 24 OECD countries, 23 business-sector industries and 13 years to study the effect of dismissal regulations on different types of gross worker flows, defined as one-year transitions. Chapter 1 uses both a difference-in-difference approach – in which the impact of regulations is identified by exploiting likely cross-industry differences in their impact – and standard time-series analysis – in which the effect of regulations is identified through regulatory changes over time. Findings suggest that the more restrictive the regulation, the smaller is the rate of within-industry job-to-job transitions, in particular towards permanent jobs. By contrast, it finds no significant effect as regards separations involving an industry change or leading to non-employment. The extent of reinstatement in the case of unfair dismissal appears to be the most important regulatory determinant of gross worker flows. The chapter also present a large battery of robustness checks that suggest that our findings are robust.<p><p>The second part brings new evidence to the debate on minimum wages in Europe by collecting data on systems without a statutory minimum wage and comparing them with countries with a statutory one. Since the mid-2000s, academics, trade unionists and policymakers have been involved in controversial debates about the need for a harmonised European minimum wage policy. <p><p>Chapter 2 provides a description of minimum wage systems in Europe.<p><p>Chapter 3 explores the link between different institutional features of minimum wage systems and the minimum wage bite. It notably addresses the striking absence of studies on sectoral-level minima and exploit unique data covering 17 European countries and information from more than 1,100 collective bargaining agreements. Results provide evidence for a neglected trade-off: systems with bargained sectoral-level minima are associated with higher Kaitz indices than systems with statutory floors, but also with more individuals actually paid below prevailing minima. Higher collective bargaining coverage can to some extent reduce this trade-off between high wage floors and non-compliance or non-coverage. <p>Chapter 4 builds on the previous ones and explores how the diversity of minimum wage systems affects earnings inequalities within European countries. Empirical results confirm the intuition of many practitioners that the combination of sectoral minima and high collective bargaining coverage can be regarded as a functional equivalent of a binding statutory minimum wage, at least for earnings inequalities. Regression results suggest indeed that both a national statutory minimum and, in countries with sectoral minima, higher collective bargaining coverage is significantly associated with lower levels of (overall and inter-industry) wage inequalities and a smaller fraction of workers paid below prevailing minima. Several robustness checks confirm these findings.<p><p>The third part of the thesis does not study a labour market institution as such but the effect of workers diversity, a feature that might prompt some kind of regulations in the future but it is already strongly affecting firms which need to balance their public image and corporate social responsibility practices with internal organisation and profit maximisation.<p><p>Chapter 5 estimates the impact of workforce diversity on productivity, wages, and productivity–wage gaps (i.e. profits) using detailed Belgian linked employer–employee panel data and different econometric tools to solve for endogeneity and heterogeneity issues. Findings show that educational diversity is beneficial for firm productivity and wages while age diversity is harmful. While gender diversity is found to generate significant gains in high-tech/knowledge-intensive sectors, the opposite result is obtained in more traditional industries. Estimates neither vary substantially with firm size nor point to sizeable productivity–wage gaps except for age diversity.<p>Chapter 6 extends the analysis of workforce diversity to the French case using data from a comprehensive establishment-level survey (REPONSE) for 2011 matched with companies’ balance sheet data. Controlling for a wide set of workers’ and firms’ characteristics, findings suggest that, very much in line with previous studies, demographic diversity (age and gender) has a negative effect on productivity and wages while educational diversity has a positive effect. Contrary to some widespread beliefs, the chapter finds no differential effect according to manager characteristics (gender, age, tenure) but some heterogeneity according to the type of proprietary structures of the firms (family firms vs. firms quoted in the stock exchange vs. foreign owner vs. workers among shareholders).<p><p>RESUME<p>Cette thèse vise à apporter une contribution originale au débat académique sur trois questions spécifiques liées aux institutions et à l'hétérogénéité dans le marché du travail. Dans la première partie, la thèse analyse l'effet de la législation relative à la protection de l'emploi sur les flux de travailleurs (embauches, licenciements, démissions, changements d’emploi) dans les pays de l'OCDE. La deuxième partie contribue au débat sur le salaire minimum en Europe en apportant de nouvelles données sur les pays systèmes où les salaires sont fixés au niveau sectoriel en les comparant avec les pays où le salaire minimum est fixé au niveau national. La troisième partie aborde la question relativement récente du rôle de la diversité de la main-d'œuvre pour les entreprises, et estime l'effet de la diversité sur la productivité et les salaires en Belgique et en France.<p><p>La première partie (chapitre 1) analyse une base de données qui comprend les flux d’entrées (embauches) et de sorties (démissions et licenciements) du marché du travail pour 24 pays de l'OCDE et 23 industries sur une période de 13 ans pour étudier l'effet de la réglementation relative au licenciement sur les différents types de flux de travailleurs (mesurés en termes de transitions annuelles). Le chapitre utilise à la fois une approche en double différence - dans laquelle l'impact de la régulation est identifié par l'analyse des différents besoins de réallocation selon les industries (l’hôtellerie a un taux de réallocation beaucoup plus élevé que la chimie par exemple) à travers les pays– et d'analyse de séries temporelles - dans laquelle l'effet de la régulation est identifié par des changements réglementaires au cours du temps. Les résultats suggèrent qu’une régulation plus contraignante diminue le taux de réallocation au sein du même secteur et les transitions d'un emploi à un autre, en particulier vers des emplois permanents. En revanche, une régulation plus restrictive n’a pas d'effet significatif sur les séparations impliquant un changement de secteur ou une perte d’emploi. La possibilité de réintégration en cas de licenciement abusif semble être le déterminant le plus important des flux de travailleurs.<p><p>La deuxième partie de la thèse (chapitres 2, 3 et 4) apporte un regard nouveau sur le débat sur les salaires minima en Europe, en particulier par la collecte de données sur les pays avec des minima sectoriels et la comparaison avec les pays avec un salaire fixé au niveau national. Le second chapitre fournit une description détaillée des différents systèmes de salaire minimum en vigueur en Europe. Le troisième chapitre étudie le lien entre les différentes caractéristiques institutionnelles des systèmes de salaire minimum et leur niveau par rapport au salaire médian. L’analyse pallie notamment l'absence frappante d'études sur les minima au niveau sectoriel en examinant des données couvrant 17 pays européens et plus de 1100 conventions collectives. Les résultats montrent un arbitrage jusqu’ici négligé: les systèmes avec des minima négociés au niveau sectoriel sont associés à un salaire minimum relativement plus élevé que les systèmes dotés de salaire minimum national, mais cela va de pair avec davantage de travailleurs rémunérés en dessous des minima en vigueur. Une meilleure couverture de la négociation collective peut, dans une certaine mesure, réduire cet arbitrage entre salaires minima relativement plus élevés et leur non-respect ou non-couverture. Le quatrième chapitre explore l’impact de la diversité des systèmes de salaire minimum sur l’inégalité salariale au sein des pays européens. Les résultats empiriques confirment l'intuition que la combinaison de minima sectoriels et de couverture élevée de la négociation collective peut être considérée comme l’équivalent fonctionnel d'un salaire minimum légal national. Les résultats suggèrent en effet que, dans les pays avec des minima sectoriels, une plus grande couverture de la négociation collective est associée à des niveaux inférieurs d’inégalités, globales et intersectorielles, et à une plus petite fraction des travailleurs rémunérés en dessous des minima en vigueur.<p><p>La troisième partie de la thèse (chapitres 5 et 6) n’étudie pas une institution du marché du travail en tant que telle, mais la diversité des travailleurs. Il s’agit d’un phénomène qui pourrait inspirer un certain type de régulation à l'avenir, mais qui affecte déjà fortement les entreprises qui ont besoin de trouver un équilibre entre leur image publique et la responsabilité sociale avec l'organisation des ressources humaines et la maximisation du profit. Le cinquième chapitre estime l'impact de la diversité de la main-d'œuvre sur la productivité, les salaires, et l’écart productivité-salaire. Pour ce faire, nous utilisons des données belges de panel appariées employeur-employé entre 1999 et 2006 et différents outils économétriques pour résoudre les questions d'endogénéité et d'hétérogénéité. Les résultats montrent que la diversité en termes d’années d'éducation est bénéfique pour la productivité et les salaires alors que la diversité d’âge est nuisible. Bien que la diversité de genre génère des gains importants dans les secteurs à forte intensité technologique ou de connaissance, le résultat inverse est obtenu dans les industries plus traditionnelles. Les résultats ne varient pas avec la taille des entreprises et ne mettent aucun écart important entre productivité et salaires en évidence à l'exception de la diversité d’âge. Le sixième chapitre étend l'analyse de la diversité de la main-d'œuvre au cas français. Nous utilisons les données de l’enquête REPONSE qui permettent, entre autres, une analyse approfondie, autour du thème des liens entre politiques de gestion du personnel, stratégies économiques et performances des entreprises. Tout en prenant en considération un large éventail de caractéristiques des travailleurs et des entreprises, les résultats suggèrent que la diversité démographique (âge et genre) a un effet négatif sur la productivité et les salaires tandis que la diversité d'éducation a un effet positif. Contrairement à une idée assez répandue, les caractéristiques des dirigeants (genre, âge, ancienneté) n’ont aucun effet sur la diversité. En revanche le type de structure de propriété des entreprises (entreprises familiales, entreprises cotées en bourse, propriétaire étranger ou participation des travailleurs dans l’actionnariat) implique une certaine hétérogénéité de l’effet de la diversité (firmes familiales plus favorable à la diversité de genre, firmes cotées en bourse plus favorable à la diversité d’éducation) / Doctorat en sciences économiques, Orientation économie / info:eu-repo/semantics/nonPublished

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