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In general, an increase in the dispersion of the distribution of income in the early phases
of economic modernization is not unusual – and is often described in terms of movements
along the upward-sloping section of the “Kuznetz curve”. This is often assumed to
reflect
the distributional consequences of the emergence and expansion of a high-productivity,
modern sector of firms alongside traditional low-productivity production units.
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When
trying to explain the rise in income inequality in China, we have to add that the
modernization process took place simultaneously with a shift to an economic system that
relies, much more than the
previous one, on economic incentives. It should, however, be
added that the increased reliance on economic incentives in agriculture in the late 1970s
and early 1980s, for a while actually contributed to
reduce
the relative income gap in the
country – not only between urban and rural areas but also across households in the
country as a whole. This illustrates the obvious but important point that the relation
between economic growth and income inequality depends critically on
the sector
composition of aggregate economic growth. Similarly, the distributional consequences of
increased reliance on economic incentives depend on which population groups actually
experience such an increase.
Specific policy measures have also contributed to increase the income gaps during the
reform period. For instance, income differences across provinces were accentuated by the
opening up of the country to foreign trade and investment in the mid-1980s, since this
released the (potential) absolute and comparative advantage of coastal (eastern)
provinces
with relatively good locations for such activities. The differential effects of these policies
across provinces were accentuated by the
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