Dear all.
I'm doing my research on Unemployment, and my topic is "The Impact of remittances on unemployment." This is my model:
Unemploymentit = β0 + β1Unemploymentt-1,i + β2(FDI/GDP)it +β3(GFCF/GDP)it + β4PopGrowthit + β5(Remittances/GDP)it + β6Inflationti + β7FemaleLFti + β8YouthEmpRatioti + β9EnrollTertiaryti + β10EnrollSecondti + β11GovernExpti + β12Crisisti + uti
Thirteen countries, 12 variables, and more than 160 observations.
Can you advise me which methodology I should use for analysis? And don't forget please about endogeneity problem and lagged effect of previous years Unemployment to the current year...
Thank you in advance
Best regards,
Farrukh
I'm doing my research on Unemployment, and my topic is "The Impact of remittances on unemployment." This is my model:
Unemploymentit = β0 + β1Unemploymentt-1,i + β2(FDI/GDP)it +β3(GFCF/GDP)it + β4PopGrowthit + β5(Remittances/GDP)it + β6Inflationti + β7FemaleLFti + β8YouthEmpRatioti + β9EnrollTertiaryti + β10EnrollSecondti + β11GovernExpti + β12Crisisti + uti
Thirteen countries, 12 variables, and more than 160 observations.
Can you advise me which methodology I should use for analysis? And don't forget please about endogeneity problem and lagged effect of previous years Unemployment to the current year...
Thank you in advance
Best regards,
Farrukh
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