O18 - Economic Development: Urban, Rural, Regional, and Transportation Analysis; Housing; InfrastructureNávrat zpět

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Regional Migration in the Czech Republic: Economic Factors Are the Key

Daniel Pakši, Jakub Vontroba, Milan Šimek

Politická ekonomie 2023, 71(3):267-290 | DOI: 10.18267/j.polek.1386


This article aims to determine and evaluate factors influencing migration behaviour and decision to migrate in 14 regions of the Czech Republic in the periods 1995–2018 and 2004–2018 (after the accession to the EU). The panel data analysis conducted mostly confirms our hypotheses on the impact of the analysed factors, confirming the impact of GDP growth, number of job listings at Labour Offices, number of job applicants, employment in industry and number of finished dwellings. The exceptions are the variables for the crime rate and number of college students in the region, where we found a positive but barely statistically significant coefficient. One group of factors (GDP growth, jobs at Labour Office, finished dwellings) prove to be pull factors, i.e., they are statistically significant and have a positive impact on migration flows. There are also two push factors, both of which represent the labour market situation and, to some extent, the structure of the economy in the region (number of job applicants and employment in industry). Their relationship with migration flows is negative and statistically significant, while several robustness tests are employed.

Strukturální fondy a znevýhodnění regionů: veřejní a neveřejní příjemci podpory

Structural Funding and Disadvantage of Regions: Public and Non-Public Beneficiaries

Oldřich Hájek, Jiří Novosák, Radek Jurčík, Daniela Spiesová, Jana Novosáková

Politická ekonomie 2019, 67(2):113-132 | DOI: 10.18267/j.polek.1238

Considering the differences between public and non-public beneficiaries, the main aim of this paper is to evaluate the relationship between the disadvantage of Czech regions and the spatial distribution of EU structural funds in the programming period 2007–2013. The empirical results reveal negative and significant influence of socioeconomic disadvantage of regions on the amount of structural funds obtained by public beneficiaries. On the contrary, agglomeration economies are the statistically significant determinant of the amount of structural funds obtained by non-public beneficiaries. These conclusions are related to different absorption capacity of regions, regarding the number and size of projects. Overall, structural funds do not compensate for the disadvantage of regions, neither for public nor for non-public beneficiaries.

Vplyv aglomeračných úspor na rast zamestnanosti v kreatívnych odvetviach na Slovensku

The Impact of Agglomeration Economies on Employment Growth in the Creative Industries in Slovakia

Slávka Klasová, Iveta Korobaničová, Peter Burger

Politická ekonomie 2017, 65(2):217-233 | DOI: 10.18267/j.polek.1137

The paper explores the impact of agglomeration economies on employment growth in the creative industries in Slovakia between 1998 and 2014. Using a spatial econometric model it has been confirmed that related variety plays a significant role in employment growth in creative industries, while significance of unrelated variety has not been confirmed. In other words, the districts specialising in different, but at the same time cognitively and technologically related creative sectors, have achieved higher employment growth in comparison to those specialising either in one selected creative sector, or in unrelated sectors. Moreover, the results indicate that knowledge spillover effect in creative industries is configured more locally what emphasizes the importance of a local level in the process of knowledge creation and its spillover.

Analýza cen komerčních nemovitostí v zemích střední Evropy

Analysis of the Commercial Property Prices in the Central European Countries

Michal Hlaváček, Ondřej Novotný, Marek Rusnák

Politická ekonomie 2016, 64(1):3-18 | DOI: 10.18267/j.polek.1051

Developments in the commercial property market are an important factor affecting financial stability, especially given their effect on the probability of default of non-financial corporations. This article analyses the development of the office property markets in five central European countries and compares their main indicators with those for Germany. It then formulates a simple error correction model of office property prices in relation to macroeconomic, demographic and structural determinants. The analysis reveals that both demand and supply factors (GDP, inflation and total office space), and partly also the maturity of the credit market, have an effect. Using this model, property prices are identified as having been overvalued in 2006-2008. However, in the CR office space currently appears to be slightly undervalued.

Prostorová koherence národní a evropské regionální politiky: poznatky z České republiky a Slovenska

Spatial Coherence of National and European Regional Policy: The Insights from the Czech Republic and Slovakia

Oldřich Hájek, Lenka Smékalová, Jiří Novosák, Petr Zahradník

Politická ekonomie 2014, 62(5):630-644 | DOI: 10.18267/j.polek.973

This paper deals with the spatial relationship between national and European regional policies. Spatial coherence of these two types of policies in two CEE countries - in the Czech Republic and Slovakia - is discussed. Our findings point at a higher spatial coherence of national and European regional policy in Slovakia. Thus, there is a higher financial allocation per 1 inhabitant in the nationally delimitated areas of special interest in Slovakia compared with the Czech Republic. Three aspects are discussed in this regard. First, different strategies of the delimitation of the areas of special interest in the both countries are emphasised. Second, different strategies of the implementation of the areas of special interest in programming documents in the both countries are upheld. Third, the factor of territorial absorption capacity is mentioned. We claim that the three aspects should be considered in achieving a higher spatial coherence of national and European regional policies.

Regionální disparity a financování regionální politiky - některé poznatky z České republiky

Regional Disparities and Financing of Regional Policy - Some Lessons from the Czech Republic

Oldřich Hájek, Jiří Novosák, Petr Zahradník, Pavel Bednář

Politická ekonomie 2012, 60(3):330-348 | DOI: 10.18267/j.polek.845

This paper deals with the relationship between regional disparities and financing of regional policy. The Czech Republic and the Convergence goal of cohesion policy were chosen as a case study. Four themes are discussed in this regard. First, the spatial distribution of funds is analyzed with respect to the disparity goal of regional policy. Second, the coherence of regional policy on different regional levels is evaluated. Third, the differences in evaluations based on the seat of applicants on one hand and place of realization on the other are discussed. Finally, some thematic issues are considered. Our findings point at some ambivalent conclusions with respect to both, the disparity goal and the coherence of regional policy on different regional levels. In addition, the differences in the both forms of evaluations are emphasized.

Integrační teorie udržitelného regionálního rozvoje - představení a aplikace

Integration Theory of Sustainable Regional Development - Presentation and Application

Milan Viturka

Politická ekonomie 2011, 59(6):794-809 | DOI: 10.18267/j.polek.822

The article presents information about the new integration theory of sustainable regional development. It is an empirically verified theory; its main components are the business environment quality (BEQ), the innovation potential of companies (IPC), and the use of human resources (UHR). Its foundations can be expressed as follows: an improvement of regional quality of business environment stimulates the development of entrepreneurial activities with positive impacts on employment rate and creation of innovations; thus generated synergic effects reinforce the territorial integration of economy and regional competitiveness, which form the basic prerequisites for sustainable regional development. The objective validity of the theory has been confirmed mainly based on hypotheses that BEQ values have strong links to GDP level and further and correspond with the population of regions as the essential measure of their significance. Application of theory allowed formulating a regional development strategy of the Czech Republic.

Empirická analýza regionálního podnikatelského prostředí vybraných zemí EU

An Empirical Analysis of the Business Environment of Selected European Union Regions

Jakub Odehnal, Jaroslav Michálek

Politická ekonomie 2011, 59(2):242-262 | DOI: 10.18267/j.polek.783

The article is focused on the application of multivariety classification techniques for assessing the business environment of selected European Union regions. The theoretical part deals with the issue of identifying the factors, which boost the attractiveness of regions for possible investors. In accordance with a character of used data the authors have chosen the factor analysis and the cluster analysis for the classification process. As an input for the practical analysis such data sets have been selected which describe regional business environment in the EU. The initial number of chosen regions had to be reduced because of the missing data. The ZET algorithm has been applied to complete the mising values in the remaining number of regions. The following four indicators of business environment were created on the basis of factor analysis: the indicator of quality of labour forces and innovations, the indicator of labour market, the indicator of economic activity and the indicator of demographic development. Empirical classifications were explored on two different linkages by means of created factors. Individual clusters were compared by average values of factor scores. The results of comparison were discussed.

Regionální ekonomická konvergence, divergence a další aspekty distribuční dynamiky evropských regionů v období 1992-2006

Regional Convergence, Divergence and Other Aspects of Distributional Dynamics of European Regions in the Period 1992-2006

Josef Novotný

Politická ekonomie 2010, 58(2):166-185 | DOI: 10.18267/j.polek.725

The paper provides an exploratory analysis of regional dynamics among 264 NUTS2 EU-27 regions over the period 1992-2006. Seven different regional indicators are analyzed including wages, household expenditures, retail sales, investments, productivity, GDP, and GDP adjusted for international purchasing power differences. Several aspects of regional dynamics are studied such as convergence, polarization, role of international component, overall mobility, and individual mobility of Czech regions. Different methods are employed including some traditional techniques such as Gini coefficient, Theil decomposition, or kernel density estimates but also more innovative measures based on the pair-wise comparisons of regions. The results suggest strong regional convergence in relative ratios hand in hand with increasing absolute gaps among European regions. The analysis also indicates a significant bipolarity in the investigated distributions and a major role of international component in the process of European regional development. From the Czech regions, only Praha and Střední Čechy recorded some upward mobility in the European regional rank distributions, while the relative positions of all other units deteriorated.

Ekonomické souvislosti revitalizace brownfields

Economic context of brownfields revitalization

Petra Rydvalová, Miroslav Žižka

Politická ekonomie 2006, 54(5):632-645 | DOI: 10.18267/j.polek.576

Brownfields are old, unused sites and buildings located in urban areas and open countryside. This article deals with problems of brownfields that developed as a result of restructuring national industry, a decreased significance of primary and secondary industry, and the increase of tertiary industry. The main part of the article provides a complex evaluation of the costs and benefits connected with brownfields regeneration in comparison with building on greenfields. The presented model evaluates both alternatives from the municipality, investor and public interest points of view. In a conclusion, there is given a recommended procedure for brownfields regeneration. The first step is to create a database of brownfields which will be later followed by the evaluation of identified brownfields according to attractiveness for investors, usability of individual brownfields from the point of view of land use planning and also the search of financial resources for regeneration and evaluation of economic efficiency of brownfields revitalization.