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A comparison of earnings measures from longitudinal and cross-sectional surveys: evidence from the UK

机译:纵向调查和横断面调查的收益指标比较:来自英国的证据

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The paper compares earnings data from the British Household Panel Survey with those collected in the Family Resources Survey, using several measures, which account for various key aspects of the two surveys, and contrasting three different points in time (1995-1996, 2003-2004 and 2007-2008). We first perform non-parametric tests of equality at the centre of the distributions and over the whole earnings distributions. We then apply multivariate regression methods to establish whether the Family Resources Survey and British Household Panel Survey earnings data yield different results in relation to three typical uses of earnings data: the probability of being at the bottom or at the top of the distribution, the estimation of earnings functions both at the mean and at various quartiles and, using earnings as an explanatory variable, the probability of belonging to an occupational pension plan. Our analysis reveals that the two surveys have fairly similar earnings data in the first comparison year, whereas sizable and stable differences emerge in the later two comparisons. These findings are robust to the use of alternative definitions of earnings. They suggest the important role that is played by non-response and attrition between the first and the second comparison time points, and that played by 'learning-by-doing' effects in later data collections.
机译:本文使用几种衡量方法,将英国家庭面板调查的收入数据与家庭资源调查中收集的数据进行了比较,这些方法解释了两次调查的各个关键方面,并对比了三个不同的时间点(1995-1996年,2003-2004年)和2007-2008年)。我们首先在分​​布的中心以及整个收益分布上执行非参数相等性检验。然后,我们使用多元回归方法来确定家庭资源调查和英国家庭面板调查的收益数据相对于收益数据的三种典型用途是否得出不同的结果:位于分布底部或顶部的概率,估计收入的函数在均值和四分位数处均起作用,并以收入为解释变量,得出加入职业养老金计划的概率。我们的分析表明,这两个调查在比较的第一年中具有相当相似的收益数据,而在随后的两个比较中则出现了相当大且稳定的差异。这些发现对于使用替代性收入定义是可靠的。他们提出了由第一个和第二个比较时间点之间的无响应和耗损所起的重要作用,以及后来的数据收集中的“边做边学”效应所起的重要作用。

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