Table 11
Range of sampling error coefficients of variation for estimates of totals within region by equivalized household disposable income quintile from the Survey of Financial Security (SFS), 2012 and 2016

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Table 11
Range of sampling error coefficients of variation for estimates of totals within region by equivalized household disposable income quintile from the Survey of Financial Security (SFS), 2012 and 2016
Table summary
This table displays the results of Range of sampling error coefficients of variation for estimates of totals within region by equivalized household disposable income quintile from the Survey of Financial Security (SFS) Region by equivalized household disposable income quintile, Minimum, Median and Maximum, calculated using coefficient of variation units of measure (appearing as column headers).
Region by equivalized household disposable income quintile
Minimum Median Maximum
coefficient of variation
2016
Total assets 4.5 7.3 15.5
Total liabilities 5.6 10.3 19.4
Net worth (wealth) 4.8 7.6 17.6
2012
Total assets 4.1 8.0 28.2
Total liabilities 5.8 10.8 27.1
Net worth (wealth) 4.6 8.7 32.0
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