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| Foster-Greer-Thorbecke Index× | Poverty Dominance Analysis× | |
|---|---|---|
| Područje | Ekonomija | Ekonomija |
| Obitelj | Process / pipeline | Process / pipeline |
| Godina nastanka≠ | 1984 | 1987 |
| Tvorac≠ | James Foster, Joel Greer & Erik Thorbecke | Anthony Atkinson (1987); James Foster & Anthony Shorrocks (1988) |
| Vrsta≠ | Parametric class of poverty measures | Robust distributional ordering |
| Temeljni izvor≠ | Foster, J., Greer, J., & Thorbecke, E. (1984). A class of decomposable poverty measures. Econometrica, 52(3), 761–766. DOI ↗ | Atkinson, A. B. (1987). On the measurement of poverty. Econometrica, 55(4), 749–764. DOI ↗ |
| Drugi nazivi | FGT Index, FGT Poverty Measures, P-alpha Poverty Index, Foster-Greer-Thorbecke Poverty Measure | Stochastic Dominance Analysis, Poverty Orderings, TIP Curve Analysis, First- and Second-Order Poverty Dominance |
| Srodne≠ | 4 | 3 |
| Sažetak≠ | The Foster-Greer-Thorbecke (FGT) index is a parametric class of poverty measures introduced by James Foster, Joel Greer, and Erik Thorbecke in 1984 that became the workhorse of applied poverty analysis. A single parameter alpha tunes how much weight the measure places on the depth and distribution of poverty: alpha = 0 gives the headcount ratio (the share of people below the poverty line), alpha = 1 gives the poverty gap (the average normalized shortfall), and alpha = 2 gives poverty severity (which weights larger shortfalls more heavily). Its defining virtue is additive decomposability — total poverty is the population-weighted sum of subgroup poverty — which makes it ideal for profiling poverty across regions, sectors, and demographic groups. | Poverty dominance analysis asks whether one distribution has unambiguously less poverty than another for a whole class of poverty measures and a whole range of poverty lines, rather than for a single index and a single line. Building on Anthony Atkinson's 1987 stochastic-dominance treatment of poverty and the Foster-Shorrocks 1988 poverty-orderings results, it compares cumulative distribution functions (poverty incidence curves) and their successive integrals (poverty deficit and severity curves). When the curve for one distribution lies everywhere below another, that distribution has less poverty for every measure in a corresponding class and every line in the range — a robust conclusion immune to the index-and-line arbitrariness that bedevils single-number comparisons. |
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