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The income distribution function in the USA and the economic applications
N. N. Kalitkina, E. G. Sinkob a Keldysh Institute of Applied Mathematics, Moscow
b Lomonosov Moscow State University, Moscow
Abstract:
Statistical data on the income distribution function are published usually only for earnings, in 2–3 times higher than average income. The main average values are calculated only with this part of the distribution function. Data on the tail of the distribution ate not available. The study was performed on the example of the U.S. economy. It is shown that, this can be satisfactory found based on separate random data, and this tail isn’t small in a market economy. His account significantly changes the main economic indicators, including the budget deficit.
Keywords:
population incomes, the distribution function, the “tail”of distribution, deciles and quintiles, the scale of taxation, the budget deficit.
Received: 15.11.2011
Citation:
N. N. Kalitkin, E. G. Sinko, “The income distribution function in the USA and the economic applications”, Matem. Mod., 24:7 (2012), 83–96; Math. Models Comput. Simul., 5:1 (2013), 92–102
Linking options:
https://www.mathnet.ru/eng/mm3296 https://www.mathnet.ru/eng/mm/v24/i7/p83
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Abstract page: | 671 | Full-text PDF : | 9452 | References: | 66 | First page: | 33 |
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