The Comparison of Multi-Dimensioned Distributions of Economic Status

473Citations
Citations of this article
132Readers
Mendeley users who have this article in their library.
Get full text

Abstract

The literature on inequality measurement has been largely concerned with single-dimensioned indicators. This paper explores some of the issues which arise when there are several dimensions to inequality, and these are not readily reduced to a single index, concentrating particularly on the two-dimensioned case. We make use of results on multi-variate stochastic dominance in portfolio theory, extending these and applying them to the measurement of inequality. The use of the dominance conditions is illustrated by an application to the international distribution of income and life expectancy. © 1982 The Society for Economic Analysis Limited.

Cite

CITATION STYLE

APA

Atkinson, A. B., & Bourguignon, F. (1982). The Comparison of Multi-Dimensioned Distributions of Economic Status. Review of Economic Studies, 49(2), 183–201. https://doi.org/10.2307/2297269

Register to see more suggestions

Mendeley helps you to discover research relevant for your work.

Already have an account?

Save time finding and organizing research with Mendeley

Sign up for free