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Why does Income Relate to Depressive Symptoms? Testing the Income Rank Hypothesis Longitudinally

机译:为什么收入与抑郁症状有关?纵向检验收入等级假设

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摘要

This paper reports a test of the relative income rank hypothesis of depression, according to which it is the rank position of an individual’s income amongst a comparison group, rather than the individual’s absolute income, that will be associated with depressive symptoms. A new methodology is developed to test between psychosocial and material explanations of why income relates to well-being. This method was used to test the income rank hypothesis as applied to depressive symptoms. We used data from a cohort of 10,317 individuals living in Wisconsin who completed surveys in 1992 and 2003. The utility assumed to arise from income was represented with a constant relative risk aversion function to overcome limitations of previous work in which inadequate specification of the relationship between absolute income and well-being may have inappropriately favoured relative income specifications. We compared models in which current and future depressive symptoms were predicted from: (a) income utility alone, (b) income rank alone, (c) the transformed difference between the individual’s income and the mean income of a comparison group and (d) income utility, income rank and distance from the mean jointly. Model comparison overcomes problems involving multi-collinearity amongst the predictors. A rank-only model was consistently supported. Similar results were obtained for the association between depressive symptoms and wealth and rank of wealth in a cohort of 32,900 British individuals who completed surveys in 2002 and 2008. We conclude that it is the rank of a person’s income or wealth within a social comparison group, rather than income or wealth themselves or their deviations from the mean within a reference group, that is more strongly associated with depressive symptoms.
机译:本文报告了对抑郁症的相对收入等级假设的检验,据此,与抑郁症症状相关的是个人收入在比较组中的排名,而不是个人的绝对收入。一种新的方法被开发出来,以在社会心理解释和物质解释之间检验为什么收入与幸福相关。该方法用于检验用于抑郁症状的收入等级假设。我们使用了来自1992年和2003年完成调查的10,317名威斯康星州居民的数据。假定由收入产生的效用具有恒定的相对风险规避功能,以克服以前工作的局限性,即以前的工作之间的关系规格不足绝对收入和福祉可能不适当地偏爱相对收入规格。我们比较了以下模型中预测当前和未来抑郁症状的模型:(a)仅收入工具,(b)仅收入等级,(c)个人收入与比较组平均收入之间的转换差异,以及(d)收入效用,收入等级和与均值的距离共同。模型比较克服了预测变量之间涉及多重共线性的问题。始终支持仅排名模型。在2002年和2008年完成调查的32900名英国人群中,抑郁症状与财富和财富等级之间的关系也得到了类似的结果。我们得出的结论是,这是一个人在社会比较组中的收入或财富等级,而不是收入或财富本身或他们与参考组中均值的偏差,而抑郁症与抑郁症状的相关性更强。

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