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Erschienen in: Social Indicators Research 2/2013

01.11.2013

Data Envelopment Analysis for Composite Indicators: A Multiple Layer Model

verfasst von: Yongjun Shen, Elke Hermans, Tom Brijs, Geert Wets

Erschienen in: Social Indicators Research | Ausgabe 2/2013

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Abstract

The development of a composite indicator (CI) over a set of individual indicators is worthwhile in case the methodological aggregation process is sound and the results are clear. It can then be used as a powerful tool for performance evaluation, benchmarking, and decision making. In this respect, data envelopment analysis (DEA), as a self appraisal technique, has recently received considerable attention in the construction of CIs for policy analysis and public communication. However, due to the ever increasing complexity of numerous performance evaluation problems, more and more potential indicators might be developed to represent an evaluation activity in a more comprehensive way. These indicators might also belong to different categories and further be linked to one another constituting a multilayer hierarchical structure. Simply treating all the indicators to be in the same layer as is the case in the basic DEA model thereby ignores the information on their hierarchical structure, and further leads up to weak discriminating power and unrealistic weight allocations. To overcome this limitation, a multiple layer DEA-based CI model is developed in this study to embody a hierarchical structure of indicators in the DEA framework, and both its primal and dual form are realized. The proposed model is illustrated by constructing a composite road safety performance index for a set of European countries.

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Fußnoten
1
This condition is normally replaced by using a small non-Archimedean number ε > 0 for restricting the model to assign a weight of zero to unfavorable indicators (Charnes and Cooper 1984).
 
2
The sum-up-to-one requirement for the internal weights is necessary for the following linear transformation. In doing so, normalized data should be used before aggregation so as to remove scale differences.
 
3
This condition can be replaced by using a small number \( \zeta > 0 \) for restricting the model to assign a weight of zero to unfavorable indicators.
 
4
As has been proved in Shen et al. (2011), no matter which weight restriction(s) is imposed, it will maintain the model to be linear. As a result, the model (10) has the similar vector form as the assurance region (AR) model (Wong and Beasley 1990), except for the definition of the weight restriction matrix Q, in which only two elements of each column are allocated with non-zero values in the AR model since merely pairwise comparisons of the weights can be carried out. In the MLDEA-CI model, however, comparisons among different types of weight combinations can be realized.
 
5
Missing data are imputed by using Multiple Imputation in SPSS 20.0 (IBM Corp. 2011).
 
6
The share is the sum of the products of the indicator values and the corresponding weights divided by the final index score.
 
7
A rough rule of thumb for applying the DEA model is to choose the number of DMUs, i.e., n, equal to or greater than max{m × s, 3 × (m + s)}, where m and s represent the number of inputs and outputs, respectively (Cooper et al. 2000), which in this study should be 36 at least.
 
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Metadaten
Titel
Data Envelopment Analysis for Composite Indicators: A Multiple Layer Model
verfasst von
Yongjun Shen
Elke Hermans
Tom Brijs
Geert Wets
Publikationsdatum
01.11.2013
Verlag
Springer Netherlands
Erschienen in
Social Indicators Research / Ausgabe 2/2013
Print ISSN: 0303-8300
Elektronische ISSN: 1573-0921
DOI
https://doi.org/10.1007/s11205-012-0171-0

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