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Contents

   



(Top)
 


1 Definition  





2 Background  





3 Related distributions  





4 Notes  





5 References  














Davis distribution






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From Wikipedia, the free encyclopedia
 


Davis distribution
Parameters scale
shape
location
Support
PDF
Where is the Gamma function and is the Riemann zeta function
Mean
Variance

Instatistics, the Davis distributions are a family of continuous probability distributions. It is named after Harold T. Davis (1892–1974), who in 1941 proposed this distribution to model income sizes. (The Theory of Econometrics and Analysis of Economic Time Series). It is a generalization of the Planck's law of radiation from statistical physics.

Definition[edit]

The probability density function of the Davis distribution is given by

where is the Gamma function and is the Riemann zeta function. Here μ, b, and n are parameters of the distribution, and n need not be an integer.

Background[edit]

In an attempt to derive an expression that would represent not merely the upper tail of the distribution of income, Davis required an appropriate model with the following properties[1]

Related distributions[edit]

Notes[edit]

References[edit]


Retrieved from "https://en.wikipedia.org/w/index.php?title=Davis_distribution&oldid=927002685"

Category: 
Continuous distributions
 



This page was last edited on 19 November 2019, at 19:22 (UTC).

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