The income distribution function in the United States and economic applications

被引:0
|
作者
Kalitkin N.N. [1 ]
Sin’ko E.G. [1 ]
机构
[1] Keldysh Institute of Applied Mathematics, Russian Academy of Sciences, Moscow
关键词
budgetary deficit; deciles and quintiles; distribution function; incomes of population; taxation scale; tail” of distribution;
D O I
10.1134/S2070048213010055
中图分类号
学科分类号
摘要
Statistics of the income distribution function are published ordinarily only on earnings that are double or triple the average income. The critical average indicators are calculated only in this part of the distribution function. No data of the distribution function tail are present in the public press. This study is devoted to the economy of the United States. It shows that it is possible to satisfactorily find this tail on the basis of some random data, which in a market environment is not small. It considerably influences the crucial national indicators, including the budgetary deficit. © 2013, Pleiades Publishing, Ltd.
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页码:92 / 102
页数:10
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