Perkembangan Model Alokasi Investasi Secara Regional
Iwan J. Aziz
Economics and Finance in Indonesia, 1983, vol. 31, 419-433
Abstract:
This paper systematically analyze the development of models in the field of investment allocation from Anizur Rahman's first one (1963) to the study of Fujita (1978). In the comparison with the other studies before, Fujita's, which takes an approach of return-to-scale degree comparison to analyse the problems of regional development investment, seems to be the best to analyze the more realistic conditions. Also, besides the increasing and decreasing of return-to-scale, the case of variable return-to-scale is also predicted, so that the demarcation of optimizing consept has to be extended up to apply for convex programming
Keywords: model; investasi; regional; tabungan (search for similar items in EconPapers)
Date: 1983
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Persistent link: https://EconPapers.repec.org/RePEc:lpe:efijnl:198320
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