Reliability of statistical indicators in the methodology of measuring “digital economy”

The purpose of the article is the possible reasons for the violation of the reliability of statistical indicators in the “digital economy”, ultimately violating the effectiveness of management decisions, leading to their inefficiency in conditions of intensive information flows. So far, the errors a...

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Main Author: V.N. Afanasiev
Format: Article
Language:English
Published: Orenburg State University 2019-09-01
Series:Интеллект. Инновации. Инвестиции
Subjects:
Online Access:http://intellekt-izdanie.osu.ru/en/archive_new/5-2019/5-2019-pp.-31-38.html
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author V.N. Afanasiev
author_facet V.N. Afanasiev
author_sort V.N. Afanasiev
collection DOAJ
description The purpose of the article is the possible reasons for the violation of the reliability of statistical indicators in the “digital economy”, ultimately violating the effectiveness of management decisions, leading to their inefficiency in conditions of intensive information flows. So far, the errors associated with the construction of indicators in the economy have not been sufficiently investigated. The main results of the study are theoretical descriptions of the methodological foundations of errors that violate the reliability of statistical indicators in the “digital economy”. By the nature of the action, errors are divided into systematic, random, and, if possible, predictions - predictable in magnitude and probability of occurrence and unpredictable (uncertain) errors. Systematic errors are the most dangerous. Their source is incorrect principles and methods of calculation. Therefore, such errors are difficult to eliminate. Random errors are in the nature of random variables or random functions, i.e., the limits within which their size can be found, can be argued only with some probability. Often the method of calculation does not take into account the inevitability of variation of indicators, limited to a deterministic description of economic phenomena. If the objective variation is studied, in some cases its estimation is made approximately. This is due to the lack of mass implementation of processes, schematization of random processes on the basis of hypotheses about their stationarity, linearity; conditional choice of the type of distribution of random variables, etc. Any calculation takes into account only the essential factors of the phenomena, keeping the possibility of residual variation due to unaccounted factors. The actual data are formed as a result of the influence of all the factors that determined this or that phenomenon, so the probabilistic nature of the implementation and regulatory calculations should be taken into account. Random error occurs when aggregating and aggregating indicators due to the random nature of the shifts in the population. Probabilistic characteristics determined on average for the whole unit by mass of cases and over a long period are unreliable indicators for the calculation of individual parts of the unit (for example, for individual enterprises, activities). The study made it possible to draw the following conclusions. Any deviation from the required reliability of indicators associated with economic damage. Insufficient accuracy of calculations can lead to imbalances in the economy of organizations, regions, States, economic communities (with the globalization of the economy). In these circumstances, the creation of reliable statistical indicators is necessary to improve the practice of calculations at various levels of the “digital economy”, as well as for the further development of statistical science.
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spelling doaj.art-3b860e194530463d89d41514be0e197a2023-03-02T17:44:53ZengOrenburg State UniversityИнтеллект. Инновации. Инвестиции2077-71752019-09-0153138https://doi.org/10.25198/2077-7175-2019-5-31Reliability of statistical indicators in the methodology of measuring “digital economy”V.N. Afanasiev0Orenburg State UniversityThe purpose of the article is the possible reasons for the violation of the reliability of statistical indicators in the “digital economy”, ultimately violating the effectiveness of management decisions, leading to their inefficiency in conditions of intensive information flows. So far, the errors associated with the construction of indicators in the economy have not been sufficiently investigated. The main results of the study are theoretical descriptions of the methodological foundations of errors that violate the reliability of statistical indicators in the “digital economy”. By the nature of the action, errors are divided into systematic, random, and, if possible, predictions - predictable in magnitude and probability of occurrence and unpredictable (uncertain) errors. Systematic errors are the most dangerous. Their source is incorrect principles and methods of calculation. Therefore, such errors are difficult to eliminate. Random errors are in the nature of random variables or random functions, i.e., the limits within which their size can be found, can be argued only with some probability. Often the method of calculation does not take into account the inevitability of variation of indicators, limited to a deterministic description of economic phenomena. If the objective variation is studied, in some cases its estimation is made approximately. This is due to the lack of mass implementation of processes, schematization of random processes on the basis of hypotheses about their stationarity, linearity; conditional choice of the type of distribution of random variables, etc. Any calculation takes into account only the essential factors of the phenomena, keeping the possibility of residual variation due to unaccounted factors. The actual data are formed as a result of the influence of all the factors that determined this or that phenomenon, so the probabilistic nature of the implementation and regulatory calculations should be taken into account. Random error occurs when aggregating and aggregating indicators due to the random nature of the shifts in the population. Probabilistic characteristics determined on average for the whole unit by mass of cases and over a long period are unreliable indicators for the calculation of individual parts of the unit (for example, for individual enterprises, activities). The study made it possible to draw the following conclusions. Any deviation from the required reliability of indicators associated with economic damage. Insufficient accuracy of calculations can lead to imbalances in the economy of organizations, regions, States, economic communities (with the globalization of the economy). In these circumstances, the creation of reliable statistical indicators is necessary to improve the practice of calculations at various levels of the “digital economy”, as well as for the further development of statistical science.http://intellekt-izdanie.osu.ru/en/archive_new/5-2019/5-2019-pp.-31-38.htmlstatistical indicatorsystematic and random errorspossible causes of errors in statistical indicators in the «digital economy»
spellingShingle V.N. Afanasiev
Reliability of statistical indicators in the methodology of measuring “digital economy”
Интеллект. Инновации. Инвестиции
statistical indicator
systematic and random errors
possible causes of errors in statistical indicators in the «digital economy»
title Reliability of statistical indicators in the methodology of measuring “digital economy”
title_full Reliability of statistical indicators in the methodology of measuring “digital economy”
title_fullStr Reliability of statistical indicators in the methodology of measuring “digital economy”
title_full_unstemmed Reliability of statistical indicators in the methodology of measuring “digital economy”
title_short Reliability of statistical indicators in the methodology of measuring “digital economy”
title_sort reliability of statistical indicators in the methodology of measuring digital economy
topic statistical indicator
systematic and random errors
possible causes of errors in statistical indicators in the «digital economy»
url http://intellekt-izdanie.osu.ru/en/archive_new/5-2019/5-2019-pp.-31-38.html
work_keys_str_mv AT vnafanasiev reliabilityofstatisticalindicatorsinthemethodologyofmeasuringdigitaleconomy