PL EN


2013 | 3(16) | 9-20
Article title

Statistical models for income distribution in the socio-economic systems

Content
Title variants
Languages of publication
PL EN
Abstracts
EN
The given article is devoted to agent-based approach used to the construction of income distribution models, at which the economic systems are designed as an aggregate of autonomous interactive agents. The considered models open a new way for the income distribution analysis, which manifests itself in the interaction between a large number of economic agents, which allows to set between the desired stationary distributions.
Year
Issue
Pages
9-20
Physical description
Contributors
author
  • Precarpathian National University in Ivano-Frankivsk
  • Precarpathian National University in Ivano-Frankivsk
References
  • Bouchaud J.-P., Mezard M., Wealth condensation in a simple model of economy, ‘‘Physica A” 2000, No. 282, p. 536-545.
  • Champernowne D.G., A model of income distribution, ‘‘The Economic Journal” 1953, No. 63, p. 318-351.
  • Chatterjee A., Yarlagadda S, Chakrabarti B.K., Econophysics of Wealth Distributions Eds, Springer, Milan 2005.
  • Costs and resources of households in Ukraine in the third quarter of 2011 (according to the survey of households in Ukraine), http://www.ukr.stat.gov.ua.
  • Dragulescu A.A., Yakovenko V.M., Statistical mechanics of money, ‘‘The European Physical Journal B” 2000, No. 17, p. 723-729.
  • Gibrat R. Les Inégalit´s Économique, Sirey, Paris, 1931.
  • Scafetta N., Picozzi S., West B.J., A trade-investment model for distribution of wealth, ‘‘Physica D” 2004, No.193, p. 338-352.
  • The Law of Ukraine «On the State Budget of Ukraine for 2011», 23 December 2010. No. 2857-VI, Supreme Council of Ukraine, http://zakon.rada.gov.ua.
Document Type
Publication order reference
Identifiers
YADDA identifier
bwmeta1.element.desklight-da8298b0-6fcf-46f2-8b39-77152c0f7f72
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