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Statistical inference for two measures of inequality when incomes are correlated.

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Publication:1960576
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DOI10.1016/S0165-1765(99)00093-2zbMath1063.62607OpenAlexW1974422416MaRDI QIDQ1960576

Nicola Funnell, Tom McCarthy, Dirk Van de gaer

Publication date: 12 January 2000

Published in: Economics Letters (Search for Journal in Brave)

Full work available at URL: https://doi.org/10.1016/s0165-1765(99)00093-2


zbMATH Keywords

InequalityRedistributionDistribution free statistical inference


Mathematics Subject Classification ID

Applications of statistics to economics (62P20) Statistical methods; economic indices and measures (91B82)


Related Items (1)

Bootstrap inference for inequality, mobility and poverty measurement




Cites Work

  • Unnamed Item
  • The asymptotic distribution of linear indices of inequality, progressivity and redistribution
  • Large Sample Properties of Two Inequality Indices
  • Statistical Inference for the Measurement of the Incidence of Taxes and Transfers
  • Robustness Properties of Inequality Measures




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