Social Indicators (social + indicator)

Distribution by Scientific Domains


Selected Abstracts


US Office of Management and Budget on Economic and Social Indicators

POPULATION AND DEVELOPMENT REVIEW, Issue 1 2010
Article first published online: 15 MAR 2010
First page of article [source]


Social Exclusion and European Policy: Globalization and Welfare Social Indicators: The EU and Social Inclusion.

THE ECONOMIC JOURNAL, Issue 488 2003
Charles Figuieres
No abstract is available for this article. [source]


The use of economic, social and environmental indicators as a measure of sustainable development in Spain

CORPORATE SOCIAL RESPONSIBILITY AND ENVIRONMENTAL MANAGEMENT, Issue 2 2006
Isabel Gallego
Abstract In recent years the concept of corporate social responsibility has gained prominence among academics from a wide range of disciplines. According to the Green Paper issued by the Commission of the European Communities in July 2001, corporate social responsibility is defined as a concept whereby companies integrate social and environmental concerns in their business operations and in their interaction with their stakeholders on a voluntary basis. The problem is how firms have made known the information on corporate social responsibility. With this in mind, we undertook the present work in an attempt to verify empirically how certain Spanish firms present their economic, social and environmental information, how they use the indicators proposed by the Global Reporting Initiative (GRI) that are accepted in all countries and how this information can affect sustainable development. To perform this study we examined some Spanish firms that present economic, social and environmental information according to the GRI framework. Certain relevant conclusions indicate that in Spain in the last few years there has been an increase and an improvement in the information given by firms on economic, social and environmental concerns and that the information most presented by firms has to do with the social indicators related to labour, practices and decent work, strategy and management, non-discrimination, freedom of association, child labour and forced and compulsory labour as well as the environmental indicators related to energy, water, biodiversity and emissions, effluents and waste. This information reveals the great importance afforded in Spain to social and environmental information for sustainable development. Copyright © 2005 John Wiley & Sons, Ltd and ERP Environment. [source]


Quality of life of male outpatients with personality disorders or psychotic disorders: a comparison

CRIMINAL BEHAVIOUR AND MENTAL HEALTH, Issue 5 2008
Yvonne HA Bouman
Background,Quality of life (QoL) has become increasingly important as an outcome measure in community-based psychiatry. QoL refers to an individual's sense of well-being and satisfaction with his current life conditions. It is measured both through objective social indicators and life domain-specific subjective indicators. People with a personality disorder (PD) or a major mental disorder (MMD) tend to show poor social adjustment, but their relative subjective QoL is not known. Aim,To compare the QoL of male outpatients in treatment for PD or MMD overall and by means of specific social and subjective indicators. Methods,A sample of 135 men under treatment for PD in Dutch forensic outpatient facilities were compared with 79 men with MMD using the extended Dutch version of the Lancashire Quality of Life Profile (LQoLP). Results,Almost all of the objective indicators of QoL were significantly poorer among men with MMD than those with PD, but the groups did not differ on domain-specific subjective ratings of QoL. Indeed, global subjective QoL was lower in the PD than in the MMD patient group. PD outpatients seemed to have a more complex concept of QoL than the MMD outpatients for whom almost half of the variance in subjective QoL rating was related to their everyday activities and their objective sense of safety. Conclusions and implications for practice,Further study of QoL among PD patients would be warranted to test the extent to which subjective dissatisfaction is intrinsic to PD and to explore the possibility of improving it with targeted treatments. Copyright © 2008 John Wiley & Sons, Ltd. [source]


Transition and sustainability: empirical analysis of environmental Kuznets curve for water pollution in 25 countries in Central and Eastern Europe and the Commonwealth of Independent States

ENVIRONMENTAL POLICY AND GOVERNANCE, Issue 2 2009
Sandra O. Archibald
Abstract This paper examines the effects of political, structural and economic changes on environmental quality in 25 Central and East European countries (CEECs) and the countries of the Commonwealth of Independent States (CIS) using selected water pollution indicators and by testing the environmental Kuznets curve (EKC). Despite substantial research on the transition effects from centrally planned economies and totalitarian political systems to democracy and free market economies, the literature is limited with respect to the short- and long-term environmental impacts. Considering the institutional and structural changes in these economies, rising per capita income and increased trade and investment openness, these countries can be characterized as early, late and non-liberalizers with respect to the start and continuation of liberalization processes , a critical element of the systemic transformation in the CEECs. While trends in selected economic and social indicators (based on the OECD pressure,state,response framework) show that early liberalizers enjoyed positive gains relative to late liberalizers, the selected environmental indicators do not indicate consistent trends with regard to surface water quality. Among early and late liberalizers, nitrate, orthophosphate and ammonium concentrations decline and converge over time. Phosphorus concentrations initially dropped but then increased again for both groups of countries. Using the indicator of biological oxygen demand (BOD) as the dependent variable and a set of structural and economic measures as the independent variables, our econometric regression model provides some evidence for the EKC hypothesis and estimates the per capita income turning point for industrial BOD effluents to be approximately 3800,5000 USD. Copyright © 2009 John Wiley & Sons, Ltd and ERP Environment. [source]


The Economic Development of Southeast Asia in the Colonial Era: c.1870,1942

HISTORY COMPASS (ELECTRONIC), Issue 1 2008
Anne Booth
The article attempts a survey of economic development in the main colonies of Southeast Asia, and the independent country of Thailand, in the decades from 1870 to 1940. These decades witnessed a rapid growth of exports and in several cases quite fast growth of national income. The article examines the links between expanded export trade, economic growth, the role of government and living standards. The article stresses the very considerable differences which had emerged in a number of economic and social indicators by the late 1930s. [source]


More on the effectiveness of public spending on health care and education: a covariance structure model

JOURNAL OF INTERNATIONAL DEVELOPMENT, Issue 6 2003
Emanuele Baldacci
Using data for a sample of developing countries and transition economies, this paper estimates the relationship between government spending on health care and education and selected social indicators. Unlike previous studies, where social indicators are used as proxies for the unobservable health and education status of the population, this paper estimates a latent variable model. The findings suggest that public spending is an important determinant of social outcomes, particularly in the education sector. Overall, the latent variable approach yields better estimates of a social production function than the traditional approach, with higher elasticities of social indicators with respect to income and spending, therefore providing stronger evidence that increases in public spending do have a positive impact on social outcomes. Copyright © 2003 John Wiley & Sons, Ltd. [source]


The Determinants of Child Labour: The Role of Primary Product Specialization

LABOUR, Issue 2 2005
Leonardo Becchetti
The paper tests predictions of a traditional intra-household bargaining model which, under reasonable assumptions, shows that lack of bargaining power in the value chain significantly reduces the capacity for obtaining benefits from increased product demand arising from trade liberalization and therefore is positively associated with child labour. Cross-sectional and panel negative binomial estimates in a sample of emerging countries support this hypothesis. They show that proxies of domestic workers' bargaining power in the international division of labour (such as the share of primary product exports) are significantly related to child labour, net of the effect of traditional controls such as parental income, quality of education, international aid, and trade liberalization. The positive impact of the share of primary product exports on child labour outlines a potential paradox. The paradox suggests that trade liberalization does not always have straightforward positive effects on social indicators and that its short-run effects on income distribution and distribution of skills and market power across countries need to be carefully evaluated. [source]


Institutional competitiveness, social investment, and welfare regimes

REGULATION & GOVERNANCE, Issue 3 2007
Paul Bernard
Abstract Are the rather generous welfare regimes found in most European countries sustainable; that is, are they competitive in a globalizing economy? Or will they, on the contrary, be crowded out by the more austere and less expensive regimes generally found in liberal Anglo-Saxon countries? We first discuss this issue conceptually, focusing on the notions of institutional competitiveness, social investment, and short-term and long-term productivity. We then briefly present the results of an empirical study of 50 social indicators of policies and outcomes in 20 Organization for Economic Co-operation and Development (OECD) countries during the early 2000s. We conclude that welfare regimes have not been forced to converge through a "race to the bottom." There remain three distinct ways to face the "trilemma" of job growth, income inequality, and fiscal restraint: Nordic countries achieve high labor market participation through high social investment; Anglo-Saxon countries attain the same objective through minimal public intervention; while Continental European countries experience fiscal pressures because their social protection schemes are not promoting participation to the same extent. [source]


A conceptual framework for siting biorefineries in the Canadian Prairies

BIOFUELS, BIOPRODUCTS AND BIOREFINING, Issue 4 2010
Jason Luk
Abstract Ethanol is increasingly used as a means to reduce gasoline consumption. As a result, it has also attracted analysis of its economic, social, and environmental merit. In order for the ethanol production industry to continue to expand, these issues must be confronted in future development. Although technological development is often relied upon, carefully considered ethanol refinery siting also mitigates some of these concerns. Five alternative siting locations were selected in the western Canadian Prairies. These were evaluated using 12 criteria which represent regional resources, economic conditions, government support, or social indicators. The criteria were weighted to represent the perspectives of two stakeholders. The Preference Ranking Organization Method for Enrichment and Evaluations (PROMETHEE) method was applied to this data, ranking the alternative sites. Several future scenarios were created to analyze the sensitivity of the results to both statistical data and subjective inputs. The rankings proved to be robust, and varied little in the different scenarios. Southern Alberta had an advantage with a high ethanol byproduct demand, education level, and ethanol demand. Southern Manitoba benefitted from the lowest labor and miscellaneous costs, due to higher unemployment. Saskatchewan suffers from low byproduct demand and a decrease in water availability while having a heated economy which increases costs. In addition, Saskatchewan as a whole is currently the leader in ethanol production, resulting in less net demand, reduced access to government incentives, and more local competition. Southern Alberta and Southern Manitoba are the optimal regions for future ethanol biorefinery, where as the Saskatchewan locations are the least attractive. © 2010 Society of Chemical Industry and John Wiley & Sons, Ltd [source]