Variance Estimation Using Linearization for Poverty and Social Exclusion Indicators
نویسندگان
چکیده
We have used the generalized linearization technique based on the concept of influence function, as Osier has done (Osier 2009), to estimate the variance of complex statistics such as Laeken indicators. Simulations conducted using the R language show that the use of Gaussian kernel estimation to estimate an income density function results in a strongly biased variance estimate. We are proposing two other density estimation methods that significantly reduce the observed bias. One of the methods has already been outlined by Deville (2000). The results published in this article will help to significantly improve the quality of information on the precision of certain Laeken indicators that are disseminated and compared internationally.
منابع مشابه
Variance Estimation of Indicators on Social Exclusion and Poverty using the R Package laeken
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Description Estimation of indicators on social exclusion and poverty, as well as Pareto tail modeling for empirical income distributions.
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May 31, 2012 Type Package Title Estimation of indicators on social exclusion and poverty Version 0.3.3 Date 2012-05-31 Author Andreas Alfons, Josef Holzer and Matthias Templ Maintainer Andreas Alfons Depends R (>= 2.10.0), boot, MASS Description Estimation of indicators on social exclusion and poverty,as well as Pareto tail modeling for empirical income distribution...
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تاریخ انتشار 2012