摘要
针对居民平均可支配收入的评价,以泰尔指数为切入点,综合运用变异系数、多元回归分析等多种方法,建立泰尔指数模型、标准收入模型和指数函数模型,运用Matlab、Excel等软件编程,得出了居民收入贫富差距现象的主要原因和各年居民平均收入数据的基本规律:马太效应.
In this paper , to evaluate the residents'average disposable income , Theil Index was regarded as a point .Variable coefficient and Multivariate regression analysis were used comprehensively to establish Theil Index , standard income model and exponential function .In this process , Matlab and excellwere used to find out why there is the gap between the rich and the poor , and the basic law of the annual residents'average disposable income.The answer is that it follows Matthew effect .
出处
《佳木斯大学学报(自然科学版)》
CAS
2014年第1期130-134,共5页
Journal of Jiamusi University:Natural Science Edition
基金
国家自然科学项目(11301001)
安徽省高等教育振兴计划项目(2013cgtg013)
国家级大学生创新创业训练计划项目(201310378056)