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Měření příjmové nerovnosti prostřednictvím metody směrodatné odchylky

Author

Listed:
  • Kamila Turečková

    (Departament of Economics and Public Administration, School of Business Administration, Silesian University)

Abstract

Cílem předkládaného příspěvku je představit metodu směrodatné odchylky v kontextu příjmové nerovnosti (method of standard deviation of income inequality), kterou lze doporučit jako alternativu k běžným metodám měření příjmových nerovností (Giniho koeficient, Lorenzova křivka, míra nerovnosti, index S20/S80 nebo S80/S20, Robin Hood index apod.). Principem metody směrodatné odchylky příjmové nerovnosti je stanovit míru příjmové nerovnosti ve společnosti, případně ji následně srovnávat v čase a prostoru, přičemž metoda je pro svou jednoduchost vhodná pro všechny typy poskytovaných dat. Nerozlišujeme tedy, zda jsou data poskytována na decilové, kvintální, kvartilové či jiné škále. Teoretické vymezení metody směrodatné odchylky příjmové nerovnosti je doplněno praktickou aplikací metody na datech Českého statistického úřadu a její komparací k výsledkům míry příjmové nerovnosti stanovené na pozadí dalších vybraných standardních metod měření příjmových nerovností.

Suggested Citation

  • Kamila Turečková, 2018. "Měření příjmové nerovnosti prostřednictvím metody směrodatné odchylky," Working Papers 0050, Silesian University, School of Business Administration.
  • Handle: RePEc:opa:wpaper:0050
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    References listed on IDEAS

    as
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    3. Siti Nuryanah & Sardar M. N. Islam, 2015. "The Context of the Case Study," Palgrave Macmillan Books, in: Corporate Governance and Financial Management, chapter 5, pages 145-156, Palgrave Macmillan.
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    More about this item

    Keywords

    příjmová nerovnost; metoda směrodatné odchylky;

    JEL classification:

    • F1 - International Economics - - Trade
    • F31 - International Economics - - International Finance - - - Foreign Exchange

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