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1
Why is U.S. Poverty Higher in Nonmetropolitan
than in Metropolitan Areas?
  • by Monica Fisher, OSU AREC
  • In Growth and Change,
  • (March 207)
  • Vol. 38 No. 1 pp. 56-76
  • Presented by DAnne Hammond

2
Rural/Urban Poverty, Fisher
  • Examines whether the difference in poverty levels
    reflects personal choice in addition to
    structural explanations of limited economic and
    social opportunities.
  • i.e. structural condition and sorting hypothesis?

3
The question
  • ...asking if the disproportionate poverty in
    non-metro places partly reflects attitudes of
    people with personal attributes related to
    poverty they may be attracted to non-metro
    places or otherwise reluctant (or unable) to
    leave them.

4
Observable differences in poverty rates
  • Other research shows the odds of being poor are
    1.2 to 2.3 times higher in rural areas
  • 1/20 metro counties poverty rate 20 or higher
  • 1/5 non-metro counties poverty rate 20 or higher

5
Theoretical model
  • y f (age female/not white/not education
    unemployed/not in labor force/not retired
    disabled married household size young child
    present/not non-metro/not)
  • where y adj. income-needs ratio

6
Method
  • Series of multivariate regression models using
    OLS to model poverty across place
  • All models are variations of
  • y1 a0 a1xi a2ni a3si ei
  • Where y pretax income-to-need need is
    census-based poverty threshold
  • x individual factors race, age, gender,
    presence of children, etc.
  • n binary variable indicating non-metro
  • s fixed-effects controlling for state-level
    expenditures, tax structure, etc.
  • e error term, assumed to be i.i.d.

7
Variable y
  • Dependent variable y (income-to-need) is adjusted
    for housing cost differences using fair market
    rent values (FMR)
  • Persistent differences in housing costs between
    metro and non-metro

8
Data source
  • Panel Study of Income Dynamics (PSID)
  • Nationally representative sample
  • Longitudinal data
  • Survey following apx. 5,000 families since 1968
  • This research uses the nine panels between 1985
    and 1993 that include non-metro variable

9
Data subsample
  • Household min. 2 yrs. observations in study
  • Restricted to lower income distribution
  • Records must have complete data for all variables
  • Head of household is a proxy for entire household
  • Result is sample of 2,007 household heads in
    poverty in 1993 and at least one other year
    between 1985 and 1993
  • Average number of years in sample 7

10
Final data set characteristics
  • Differences (statistically significant) between
    whole sample and selected sub-sample
  • Female
  • With young child
  • Non-metro area
  • More likely non-white and unemployed
  • Lower education levels

11
Results
  • F-stat indicates joint significance of
    explanatory variables (95 ci)
  • Indirect evidence supporting both structural
    condition hypothesis and self-sorting to
    non-metro
  • Metro to non-metro movers have increased
    income-needs ratio of 25
  • Non-metro households economically worse off
    (ceteris parabus)

12
Policy Implications
  • Further empirical studies on place-level and
    individual-level variables over time
  • ...can improve the design of anti-poverty
    policy, providing insights on what combinations
    of human-capital and community-strengthening
    policies are most likely to reduce non-metro
    poverty and its unfavorable consequences. (p.
    73)
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