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Varianzenschätzung für komplexe Indikatoren von Armut und Ungleichheit bei Verwendung von Linearisierungstechniken
[journal article]

dc.contributor.authorOsier, Guillaumede
dc.date.accessioned2015-02-05T16:17:57Z
dc.date.available2015-02-05T16:17:57Z
dc.date.issued2009de
dc.identifier.issn1864-3361de
dc.identifier.urihttp://www.ssoar.info/ssoar/handle/document/41719
dc.description.abstract"The paper presents the Eurostat experience in calculating measures of precision, including standard errors, confidence intervals and design effect coefficients - the ratio of the variance of a statistic with the actual sample design to the variance of that statistic with a simple random sample of same size - for the 'Laeken' indicators, that is, a set of complex indicators of poverty and inequality which had been set out in the framework of the EU-SILC project (European Statistics on Income and Living Conditions). The Taylor linearization method (Tepping, 1968; Woodru, 1971; Wolter, 1985; Tillé, 2000) is actually a well-established method to obtain variance estimators for nonlinear statistics such as ratios, correlation or regression coefficients. It consists of approximating a nonlinear statistic with a linear function of the observations by using first-order Taylor Series expansions. Then, an easily found variance estimator of the linear approximation is used as an estimator of the variance of the nonlinear statistic. Although the Taylor linearization method handles all the nonlinear statistics which can be expressed as a smooth function of estimated totals, the approach fails to encompass the 'Laeken' indicators since the latter are having more complex mathematical expressions. Consequently, a generalized linearization method (Deville, 1999), which relies on the concept of influence function (Hampel, Ronchetti, Rousseeuw and Stahel, 1986), has been implemented. After presenting the EU-SILC instrument and the main target indicators for which variance estimates are needed, the paper elaborates on the main features of the linearization approach based on influence functions. Ultimately, estimated standard errors, confidence intervals and design effect coefficients obtained from this approach are presented and discussed." (author's abstract)en
dc.languageende
dc.subject.ddcSocial problems and servicesen
dc.subject.ddcSozialwissenschaften, Soziologiede
dc.subject.ddcSocial sciences, sociology, anthropologyen
dc.subject.ddcPolitikwissenschaftde
dc.subject.ddcSoziale Probleme und Sozialdienstede
dc.subject.ddcPolitical scienceen
dc.titleVariance estimation for complex indicators of poverty and inequality using linearization techniquesde
dc.title.alternativeVarianzenschätzung für komplexe Indikatoren von Armut und Ungleichheit bei Verwendung von Linearisierungstechnikende
dc.description.reviewbegutachtet (peer reviewed)de
dc.description.reviewpeer revieweden
dc.source.journalSurvey Research Methods
dc.source.volume3de
dc.publisher.countryDEU
dc.source.issue3de
dc.subject.classozForschungsarten der Sozialforschungde
dc.subject.classozErhebungstechniken und Analysetechniken der Sozialwissenschaftende
dc.subject.classozEuropapolitikde
dc.subject.classozEuropean Politicsen
dc.subject.classozsoziale Problemede
dc.subject.classozMethods and Techniques of Data Collection and Data Analysis, Statistical Methods, Computer Methodsen
dc.subject.classozResearch Designen
dc.subject.classozSocial Problemsen
dc.subject.thesozEUen
dc.subject.thesozDauerarbeitslosigkeitde
dc.subject.thesozeducationen
dc.subject.thesozEuropean Commissionen
dc.subject.thesozSchätzungde
dc.subject.thesozstatistical methoden
dc.subject.thesozrisken
dc.subject.thesozEuropäische Kommissionde
dc.subject.thesozMethodede
dc.subject.thesozGeschlechtde
dc.subject.thesozpersistent unemploymenten
dc.subject.thesozsocial inequalityen
dc.subject.thesozEinkommensverteilungde
dc.subject.thesozinequalityen
dc.subject.thesozunemploymenten
dc.subject.thesozpovertyen
dc.subject.thesozEUde
dc.subject.thesozBildungde
dc.subject.thesozgenderen
dc.subject.thesozLebenserwartungde
dc.subject.thesozincomeen
dc.subject.thesozanalysis of varianceen
dc.subject.thesozBerichterstattungde
dc.subject.thesozstatistische Methodede
dc.subject.thesozArmutde
dc.subject.thesozincome distributionen
dc.subject.thesozArbeitslosigkeitde
dc.subject.thesozRisikode
dc.subject.thesozlife expectancyen
dc.subject.thesozmethoden
dc.subject.thesozLebensbedingungende
dc.subject.thesozEinkommende
dc.subject.thesozliving conditionsen
dc.subject.thesozlinear modelen
dc.subject.thesozestimationen
dc.subject.thesozlineares Modellde
dc.subject.thesozUngleichheitde
dc.subject.thesozsoziale Ungleichheitde
dc.subject.thesozreportingen
dc.subject.thesozVarianzanalysede
dc.rights.licenceDeposit Licence - Keine Weiterverbreitung, keine Bearbeitungde
dc.rights.licenceDeposit Licence - No Redistribution, No Modificationsen
ssoar.gesis.collectionaDISde
internal.statusformal und inhaltlich fertig erschlossende
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dc.type.documentjournal articleen
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dc.source.pageinfo167-195de
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internal.commenturn:nbn:de:0168-ssoar-417196
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dc.identifier.doihttps://doi.org/10.18148/srm/2009.v3i3.369
dc.description.pubstatusPublished Versionen
dc.description.pubstatusVeröffentlichungsversionde
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