8 resultados para Truncated Gini index


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[Es] Éste trabajo estudia la desigualdad en la distribución de la renta en la Comunidad Autónoma del País Vasco entre los años 2001 y 2011. Este periodo está dividido en dos sub-periodos, uno de bonanza económica entre 2001 y 2009 y otro de crisis económica y financiera entre 2009 y 2011. Se considera la renta disponible como variable y se toman los datos de UDALMAP y la encuesta de pobreza y desigualdades sociales (2012). Respaldado por un estudio teórico y referenciado de las herramientas para la medición de la desigualdad utilizadas en el trabajo, se analizan los estadísticos de los datos y se mide la distribución de la renta mediante el análisis de los principales y más reconocidos métodos para el estudio de la desigualdad como son la curva de Lorenz, el índice de Gini, la distribución inter-cuartil y el índice de Theil. Los resultados obtenidos indican que la desigualdad en la distribución de la renta en la CAPV (2001-2011) se ha reducido, si bien al analizar los sub-periodos no encontramos factores económicos o territoriales que expliquen con claridad las razones de la variación de la renta.

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[ES]El trabajo es un análisis de la incidencia de la política fiscal llevada a cabo en la República Dominicana a lo largo del periodo 2000-2014, orientado a evaluar la progresividad o regresividad del sistema tributario y el gasto público así como sus efectos en la distribución del ingreso de la población dominicana. Con objeto de evaluar la acción fiscal se compara la distribución del ingreso antes y después del pago de impuestos y de las actuaciones de gasto, utilizando los indicadores de medidas de desigualdad y concentración tales como el índice de Gini, Kakwani, Concentración y Reybolds-Smolensky. El estudio considera algunas propuestas de política fiscal para lograr una mejora en la distribución del ingreso disponible a partir de las actuaciones de gasto público y un sistema tributario más progresivo.

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Presentación (p. 9-27). Index Verborum (p.65-89). Letra "P" (extraido del CD-Rom, p.1-184)

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The aim of this study is to analyze the gender segregation in undergraduate studies in the University from Basque Country (UPV/EHU). We use data from UPV/EHU for the period 2003-2013. We focus on the period from 2003 to 2013 to analyze the changes in the segregation over ten years. We analyze the tendencies of the men and the women inside undergraduate studies. Undergraduate studies are decomposed into five fields: Legal and social sciences, experimental sciences, engineering, arts and humanities, and health sciences. We draw segregation curves and compute the Gini segregation index within the Lorenz approach. Our results show that the gender segregation in undergraduate studies in the UPV/EHU has decreased from 2003 to 2013.

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[EN] This study analyzes the relationship between board size and economic-financial performance in a sample of European firms that constitute the EUROSTOXX50 Index. Based on previous literature, resource dependency and agency theories, and considering regulation developed by the OECD and European Union on the normative of corporate governance for each country in the sample, the authors propose the hypotheses of both positive linear and quadratic relationships between the researched parameters. Using ROA as a benchmark of financial performance and the number of members of the board as measurement of the board size, two OLS estimations are performed. To confirm the robustness of the results the empirical study is tested with two other similar financial ratios, ROE and Tobin s Q. Due to the absence of significant results, an additional factor, firm size, is employed in order to check if it affects firm performance. Delving further into the nature of this relationship, it is revealed that there exists a strong and negative relation between firm size and financial performance. Consequently, it can be asseverated that the generic recommendation one size fits all cannot be applied in this case; which conforms to the Recommendations of the European Union that dissuade using generic models for all countries.

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615 p.

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This paper deals with the resource allocation problem aimed at maximizing users' perception of quality in wireless channels with time-varying capacity. First of all, we model the subjective quality-aware scheduling problem in the framework of Markovian decision processes. Then, given that the obtaining of the optimal solution of this model is unachievable, we propose a simple scheduling index rule with closed-form expression by using a methodology based on Whittle approach. Finally, we analyze the performance of the achieved scheduling proposal in several relevant scenarios, concluding that it outperforms the most popular existing resource allocation strategies.

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This paper investigates the errors of the solutions as well as the shadowing property of a class of nonlinear differential equations which possess unique solutions on a certain interval for any admissible initial condition. The class of differential equations is assumed to be approximated by well-posed truncated Taylor series expansions up to a certain order obtained about certain, in general nonperiodic, sampling points t(i) is an element of [t(0), t(J)] for i = 0, 1, . . . , J of the solution. Two examples are provided.