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The Mean Deviation from the Median of the Dagum Distribution

The Mean Deviation from the Median of the Dagum Distribution
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摘要 The Dagum model is particularly suitable for the analysis of the distributions of economic quantities, such as income, assets and consumption. The purpose of this note is to derive the expression of the mean deviation from the median of the Dagum distribution to study the behavior of the scale and shape parameters in terms of absolute variability and in terms of relative variability. The Dagum model is particularly suitable for the analysis of the distributions of economic quantities, such as income, assets and consumption. The purpose of this note is to derive the expression of the mean deviation from the median of the Dagum distribution to study the behavior of the scale and shape parameters in terms of absolute variability and in terms of relative variability.
作者 Marin Claudia Domenico Leogrande Fabio Manca Marin Claudia;Domenico Leogrande;Fabio Manca(Department of Education, Psychology, Communication, University of Bari “Aldo Moro”, Bari, Italy;Department of Economics, Management and Business Law, University of Bari “Aldo Moro”, Bari, Italy)
出处 《Applied Mathematics》 2020年第10期951-956,共6页 应用数学(英文)
关键词 Mean Deviation from the Median Dagum Distribution Scale and Shape Parameters Mean Deviation from the Median Dagum Distribution Scale and Shape Parameters
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