خلاصة:
با توجه به اثرات آسیبزا و بیثباتکننده بحرانها و تکانهها بر فضای کسبوکار، در این مطالعه با استفاده از مدلهای تابلویی و بهرهگیری از دادههای سالانه کشورهای اسکاندیناوی و منا در دوره 2016- 2010، تأثیر شاخصهای مقاومت اقتصادی در کنار سایر متغیرهای کلان اقتصادی بر شاخص محیط کسبوکار مورد بررسی قرار میگیرد. در این مطالعه پس از انجام آزمون مانایی و سایر آزمونها، مدل خود توضیح برداری با وقفههای گسترده (ARDL) و برآورد ضرایب کوتاه مدت و بلندمدت با استفاده از روش گروه میانگین ادغام شده (PMG) مورد استفاده قرار گرفته است. نتایج نشان میدهد، برای کشورهای اسکاندیناویدر کوتاهمدت و بلندمدت، شاخص مقاومت اقتصادی بر شاخص فضای کسبوکار تأثیر مثبت و معنادار دارد، اما برای کشورهای منا در کوتاهمدت، شاخص مقاومت اقتصادی هیچ تأثیر معناداری بر شاخص فضای کسبوکار ندارد و در بلندمدت شاخص مقاومت اقتصادی بر شاخص فضای کسبوکار تأثیر مثبت و معناداری دارد. بنابراین در کشورهای مورد نظر بهمرورزمان با افزایش مقاومت اقتصادی، باعث بهبود فضای کسبوکار میشود. بر همین اساس، شاخص مقاومت اقتصادی با کاهش آسیبپذیری اقتصاد، زمینه مساعد شدن فضای کسبوکار را فراهم نموده و نقش مهمی در بهبود فضای کسبوکار این کشورها دارد.
Introduction Considering the harmful and destabilizing effects of crises and shocks on the business environment, in this study, using panel models and using the annual data of the Scandinavian and MENA countries for the period 2016-2010, the effect of economic resistance indices along with other macroeconomic variables on the business environment index is examined. By implementing strategies to maximize their country's resistance to shocks, they strive to provide the path and pattern of sustainable economic growth and development with the least strain. Theoretical Foundations In the 1990s, the importance of "business environment" as a link between micro and macroeconomics space was raised in economic literature. The Index of Improvement or Ease of Business environment, due to the nature of its formation, has a new and unique approach that has been put on the World Bank's agenda since 2003 under the title of ease of doing business index. De Soto (2000) has been involved in designing the concept of the business environment and policymaking to remove barriers in the way of the private sector as the main strategy of economic development above all economists. The business environment is an influencing factor on the performance of firms that managers or owners of firms strive to improve. Review of literature Economic resistance including economic growth and improvement of the business environment is a topic that has been studied in recent years, on both national and international levels. This section discusses some of these studies. In a paper using a computable general equilibrium model, Rose (2004), studied the economic resistance of water in Portland, Oregon against simulated earthquakes with a default of 6.1 Richter and water cut-off for 3 to 9 weeks before and after the study period. The existence of a price mechanism under critical circumstances can increase economic resilience. Briguglio et al. (2008) in a study using a systematic model and a composite index analyzed economic resilience and economic vulnerability of 86 countries to the financial crisis in the period of 2001-2003. Based on the two components of intrinsic vulnerability and level of resilience, countries are divided into four categories: 1- worst (high intrinsic vulnerability and low resilience) 2- best (low intrinsic vulnerability and high resilience). 3- self-made (high intrinsic vulnerability and high resilience) and 4- spoiled boy (low intrinsic vulnerability and low resilience). Pakistan and Bangladesh have low vulnerability and resilience. Costa Rica, Estonia, Malaysia, and China are self-made. Developed countries such as Australia, Canada, France, Japan, and Germany have a low intrinsic vulnerability and high resilience (best). Methodology and results This study examines the impact of economic resistance on the business environment for the two groups of MENA and Scandinavia over the period 2010-2016 using a panel data model with the software Eviews8. To this end, we first introduce the panel data model. Panel data is a dataset that observes observations by a number of cross-sectional variables (i) over a given time period (t). In this study, after performing the Unit Root Test and other tests, the model of self-explanation with wide interval (ARDL) and estimation of short-term and long-term coefficients using the integrated group method (PMG) has been used. Conclusion and suggestions The present study examines the impact of economic resistance on the business environment based on Briguglio et al. (2008)'s model of economic resilience using a panel data model for Scandinavian and Mina countries during 2016–2010. The results of this study showed that both groups of Scandinavian and MENA economic resilience index have a positive and significant effect on the business environment index. In Scandinavia and MENA, GFCF and Inflation Rate (IF) have a positive and significant effect on the business index. Foreign Investment (FDI) and Per capita Production (IG) have a positive and significant effect on MENA. But for the Scandinavian countries, it has no significant effect on the business index (DB). According to the results of research in the countries under study, it is necessary to consider the following to improve the business environment, especially for productive economic sectors (industrial and agricultural): Improving the resilience of the national economy by improving the efficiency of the government's financial system and monetary system; Applying the component of economic resistance, extroversion approach by increasing the diversity of export goods and trade parties of the target countries; Reducing government deficit by less harmful methods The focus of creating productive employment in economic programs; Taxation of large incomes of unproductive sectors; Lack of reliance on exogenous variables to provide national resources such as oil revenues; Proper use of domestic financial capital by improving the business environment;
ملخص الجهاز:
بررسي مقاومت اقتصادي بر فضاي کسب وکار: مقايسه * تطبيقي کشورهاي اسکانديناوي و منا 1 وحيد ارشدي استاديار گروه اقتصاد اسلامي پژوهشکده مطالعات اسلامي در علوم انساني دانشگاه فردوسي مشهد 2 حسين اميري استاديار گروه اقتصاد و بانکداري اسلامي دانشگاه خوارزمي 3 معصومه باراني دانشجوي دکتراي علوم اقتصادي دانشگاه رازي تاريخ دريافت :١٣٩٧/٤/١٥ تاريخ پذيرش :١٣٩٨/٣/٢٧ چکيده با توجه به اثرات آسيب زا و بيثبات کننده بحران ها و تکانه ها بر فضاي کسب وکار، در اين مطالعه با اسـتفاده از مدل هاي تابلويي و بهره گيري از داده هاي سالانه کشـورهاي اسـکانديناوي و منـا در دوره ٢٠١٦- ٢٠١٠، تأثير شاخص هاي مقاومت اقتصادي در کنار ساير متغيرهاي کلان اقتصادي بر شـاخص محـيط کسـب وکـار مورد بررسي قرار ميگيرد.
(Simmiet and Martin, 2010, 28 ) سابقه شکل گيري و گسترش بحران هاي اقتصادي و مالي در برهه هـاي مختلـف بـه ويـژه تجربـه وقوع بحران مالي- بانکي ٢٠٠٧ موجب شده کشورهاي مختلف نسبت به اسـتحکام و مقـاوم سـازي اقتصاد خود از درون تدابيري اتخاذ نمايند و طي سـال هـاي اخيـر در ادبيـات جهـاني نيـز مطالعـات گسترده اي درخصوص تقويت انعطاف پذيري و تاب آوري اقتصادي در برابر تکانه هـا مطـرح شـده است (٢٠١٠ ,Stiglitz).
بنابراين در اين پژوهش به بررسي تأثير ميزان مقاومت اقتصادي و متغيرهاي کـلان اقتصـادي بـر بهبود فضاي کسب وکار با استفاده از مدل داده هاي تابلويي براي کشـورهاي اسـکانديناوي١و منـا ٢ طي دوره زماني ٢٠١٦-٢٠١٠ پرداخته ميشود.
روش پژوهش و نتايج تحقيق اين پژوهش با استفاده از مدل داده هاي تابلويي بـه بررسـي تـأثير مقاومـت اقتصـادي بـر فضـاي کسب وکار براي دو گروه کشورهاي منا و اسـکانديناوي طـي دوره زمـاني ٢٠١٦- ٢٠١٠ پرداختـه مي شود.