Stabilization without Inclusive Development: Neoliberalism, Economic Liberalization, Poverty, and Inequality in Bolivia
Abstract
This article reconstructs the economic and social history of Bolivian neoliberalism and evaluates whether economic liberalization reduced or increased poverty and inequality in Bolivia. The historical argument is that the Bolivian neoliberal cycle was not a single event but a layered sequence: hyperinflation and emergency stabilization, the 1985 New Economic Policy, labor displacement and mining restructuring, second-generation reform in the 1990s, capitalization, decentralized state restructuring, commodity dependence, and the social conflicts that culminated in the collapse of the party system. The empirical contribution is to integrate macroeconomic indicators, economic-freedom indices, poverty and inequality series, IMF and financial-reform data, commodity and disaster controls, Bolivian export aggregates, and harmonized historical survey indicators. The preferred design is a heterogeneous instrumental-variables model that instruments domestic liberalization with lagged regional leave-one-out policy diffusion and allows Bolivia to differ from the Latin American average. The central estimate is that a 10-point increase in the Heritage economic-freedom score is associated, for Bolivia, with approximately +4.46 percentage points of poverty at the USD 4.20/day line, +3.61 percentage points at the USD 3/day line, +7.40 percentage points at the USD 8.30/day line, and +3.91 Gini points. These results remain socially regressive in sign after adding export-structure controls to the poverty specifications, although the causal interpretation remains conditional on the exclusion restriction. The article therefore advances a qualified conclusion: Bolivian neoliberalism stabilized hyperinflation, but the historically specific liberalization package appears to have increased social vulnerability and inequality rather than producing inclusive development.
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