基于区间的综合指标

Carlo Drago
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引用次数: 11

摘要

综合指标在国家比较和决策中越来越重要。同时,所获得的结果的稳健性,特别是排名和从分析中得到的结论,通常是带着怀疑接受的。从这个意义上说,我们的建议是使用区间数据,以便根据作为输入的不同假设来测量与不同综合指标相关的不确定性。从这个意义上说,复合指标可以被视为模型,因此有必要评估与构建中的不同选择有关的不确定性。不确定性可以用区间数据来表示。区间保留了与复合指标初始值相关的信息,但同时给出了结果范围的信息。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
Interval Based Composite Indicators
Composite indicators are increasingly important in country comparisons and in policy making. At the same time, the robustness of the results obtained and in particular of the rankings and the conclusions obtained from the analysis it is usually accepted with doubts. In this sense our proposal is to use interval data in order to measure the uncertainty related to the different composite indicators based on the different assumptions used as input. In this sense where composite indicators can be considered as models, for this reason it could be necessary to assess the uncertainties related to the different choices in the construction. The uncertainty can be represented by the interval data. The intervals keep the information related to the initial value of the composite indicator, but at the same time give information on the range of the results.
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