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Inference for the neighbourhood inequality index

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  • Francesco Andreoli
  • Eugenio Peluso

Abstract

The neighborhood inequality (NI) index measures aspects of spatial inequality in the distribution of incomes within a city. It is a population average of the normalized income gap between each individual’s income (observed at a given location in the city) and the incomes of the neighbours located within a certain distance range. The approach overcomes the modifiable areal units problem affecting local inequality measures. This paper provides minimum bounds for the NI index standard error and shows that unbiased estimators can be identified under fairly common hypothesis in spatial statistics. Results from a Monte Carlo study support the relevance of the approximations. Rich income data are then used to infer about trends of NI in Chicago, IL, over the last 35 years.

Suggested Citation

  • Francesco Andreoli & Eugenio Peluso, 2021. "Inference for the neighbourhood inequality index," Spatial Economic Analysis, Taylor & Francis Journals, vol. 16(3), pages 313-332, July.
  • Handle: RePEc:taf:specan:v:16:y:2021:i:3:p:313-332
    DOI: 10.1080/17421772.2020.1800071
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    More about this item

    JEL classification:

    • C12 - Mathematical and Quantitative Methods - - Econometric and Statistical Methods and Methodology: General - - - Hypothesis Testing: General
    • C46 - Mathematical and Quantitative Methods - - Econometric and Statistical Methods: Special Topics - - - Specific Distributions
    • D63 - Microeconomics - - Welfare Economics - - - Equity, Justice, Inequality, and Other Normative Criteria and Measurement
    • R23 - Urban, Rural, Regional, Real Estate, and Transportation Economics - - Household Analysis - - - Regional Migration; Regional Labor Markets; Population

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