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Three Worlds of Social Insurance: On the Validity of Esping-Andersen's Welfare Regime Dimensions
Published online by Cambridge University Press: 12 September 2012
Abstract
Esping-Andersen developed a typology of welfare regimes: conservative, liberal and social democratic, which are measured on the basis of seven indicators. We re-examine Esping-Andersen's data as well as replication data compiled by Scruggs and Allan to show that the seven indicators do not form valid measures of these welfare regimes. In addition to divergences in their measurement, the seven indicators are a mixture of institutional characteristics of welfare systems and outcome measures of social stratification. A measurement model based on the five institutional characteristics of welfare regimes that pertain to social insurance, however, does fit both the original and replication data. This article therefore proposes a three-dimensional model of conservative and liberal social insurance, which treats universal insurance coverage as the third dimension, instead of Esping-Andersen's ‘socialist’ regime. Although this does not fundamentally alter the typology of countries, it has implications for previous studies that employ country scores based on Esping-Andersen's method as independent variables in causal models. To illustrate these implications, this article re-examines a study by Noël and Thérien and calls into question their conclusions on the causal connections between the social democratic welfare state and levels of foreign aid.
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Footnotes
Department of Political Science, University of Amsterdam (email: r.j.vanderveen@uva.nl). An online appendix with supplementary tables and replication data is available at http://dx.doi.org/10.1017/S0007123412000257.
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23 First the model estimated regression weights of liberalism on poor relief, of conservatism on etatism and of socialism on universalism set at one. That model was inadmissible because the covariance matrix of latent variables was not positive definite. The three regime variances were then constrained to one, and the error variance of universalism to zero. This produced an admissible model: the EA test model (SA 1980). The choice of constraints for the EA test model (SA 1996–2001) is the same.
24 One might suspect that the EA measurement model does not fit the three datasets, due to the large disagreement between the measurements of the means-tested poor relief indicator (see note twenty-five below). This possibility was checked by deleting the indicator from the measurement model (thus making liberalism depend positively only on private pensions and private health). However, none of the test models specified for this exercise fit the data at all well.
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38 Our social insurance analysis of countries based on Scruggs and Allan's data differs somewhat from their analysis, which follows Esping-Andersen's ranking methods and is based on recalculations of the EA regime scores. Scruggs and Allan's 1980 replication typology diverges far more radically from the original than this study's social insurance typology does (see Scruggs and Allan, ‘Social Stratification and Welfare Regimes for the 21st Century: Revisiting The Three Worlds of Welfare Capitalism’, Table 5 on p. 652). However these results are only of limited interest, because the EA scores are invalid.
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