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Book A General Double Robustness Result for Estimating Average Treatment Effects

Download or read book A General Double Robustness Result for Estimating Average Treatment Effects written by Tymon Słoczyński and published by . This book was released on 2014 with total page 23 pages. Available in PDF, EPUB and Kindle. Book excerpt: In this paper we study doubly robust estimators of various average treatment effects under unconfoundedness. We unify and extend much of the recent literature by providing a very general identification result which covers binary and multi-valued treatments; unnormalized and normalized weighting; and both inverse-probability weighted (IPW) and doubly robust estimators. We also allow for subpopulation-specific average treatment effects where subpopulations can be based on covariate values in an arbitrary way. Similar to Wooldridge (2007), we then discuss estimation of the conditional mean using quasi-log likelihoods (QLL) from the linear exponential family.

Book Robust Estimation for Average Treatment Effects

Download or read book Robust Estimation for Average Treatment Effects written by Jonathan B. Hill and published by . This book was released on 2013 with total page 42 pages. Available in PDF, EPUB and Kindle. Book excerpt: We study the probability tail properties of the Inverse Probability Weighting (IPW) estimators of the Average Treatment Effect T when there is limited overlap in the covariate distribution. Our main contribution is a new robust estimator that performs substantially better than existing IPW estimators. In the literature either the propensity score is assumed bounded away from 0 and 1, or a fixed or shrinking sample portion of the random variable Z that identifies the average treatment effect by E[Z] = T is trimmed when covariate values are large. In a general setting we propose an asymptotically normal estimator that negligibly trims Z adaptively by its large values which sidesteps dimensionality, bias and poor correspondence properties associated with trimming by the covariates, and provides a simple solution to the typically ad hoc choice of trimming threshold. The estimator is asymptotically normal and unbiased whether there is limited overlap or not. In the event there is only one covariate, we also propose an improved robust IPW estimator that trims when the covariate is large. We then work within a latent variable model of the treatment assignment and characterize the probability tail decay of Z. We show when Z exhibits power law tail decay due to limited overlap, and when it has an infinite variance in which case existing estimators do not necessarily have a Gaussian distribution limit. We demonstrate the tail decay property of Z, and study the tail-trimmed estimators by Monte Carlo experiments. We show that our estimator has lower bias and mean-squared-error, and is closer to normal than an existing robust IPW estimator in its suggested form, and in the improved form we propose here.

Book Robustness in Econometrics

Download or read book Robustness in Econometrics written by Vladik Kreinovich and published by Springer. This book was released on 2017-02-11 with total page 693 pages. Available in PDF, EPUB and Kindle. Book excerpt: This book presents recent research on robustness in econometrics. Robust data processing techniques – i.e., techniques that yield results minimally affected by outliers – and their applications to real-life economic and financial situations are the main focus of this book. The book also discusses applications of more traditional statistical techniques to econometric problems. Econometrics is a branch of economics that uses mathematical (especially statistical) methods to analyze economic systems, to forecast economic and financial dynamics, and to develop strategies for achieving desirable economic performance. In day-by-day data, we often encounter outliers that do not reflect the long-term economic trends, e.g., unexpected and abrupt fluctuations. As such, it is important to develop robust data processing techniques that can accommodate these fluctuations.

Book Improved Methods for Causal Inference and Data Combination

Download or read book Improved Methods for Causal Inference and Data Combination written by Heng Shu and published by . This book was released on 2015 with total page 118 pages. Available in PDF, EPUB and Kindle. Book excerpt: In this dissertation, we develop improved estimation of average treatment effect on the treatment (ATT) which achieves double robustness, local efficiency, intrinsic efficiency and sample boundedness, using a calibrated likelihood approach. Moreover, we consider an extension of two-group causal inference problem to a general data combination problem, and develop estimators achieving desirable properties beyond double robustness and local efficiency. The proposed methods are shown, both theoretically and numerically, to be superior in robustness, efficiency or both to various existing estimators. In the first part, we review existing estimators on average treatment effect (ATE), mainly based on Tan (2006, 2010). This review provides a useful basis for improved estimation of average treatment effect on the treated (ATT). In the second part, we propose new methods to estimate the average treatment effect on the treated (ATT), which is of extensive interest in Econometrics, Biostatistics and other research fields. This problem seems to be often treated as a simple modification or extension of that of estimating overall average treatment effects (ATE). But the propensity score is no longer ancillary for estimation of ATT, in contrast with estimation of ATE. We study the efficient influence function and the corresponding semiparametric variance bound for the estimation of ATT under three different assumptions: a nonparametric model, a correct propensity score model and known propensity score. Then we construct Augmented Inverse Probability Weighted (AIPW) estimators which are locally efficient and doubly robust. Furthermore, we develop calibrated regression and likelihood estimators that are not only doubly robust and locally efficient, but also intrinsically e cient and sample bounded. Two simulations and real data analysis on a job training program are provided to demonstrate the advantage of our estimators compared with existing estimators. In the third part, we extend our methods to a general data combination problem for moment restriction models (Chen et al. 2008). Similarly, we derive augmented inverse probability weighted (AIPW) estimators that are locally efficient and doubly robust. Moreover, we develop calibrated regression and likelihood estimators which achieve double robustness, local efficiency and intrinsic efficiency. For illustration, we take the linear two-sample instrumental variable problem as an example, and derive all the relevant estimators by applying the general estimators in this specific example. Finally, a simulation study and an Econometric application on a public housing project are provided to demonstrate the superior performance of our improved estimators.

Book Robust Inference on Average Treatment Effects with Possibly More Covariates Than Observations

Download or read book Robust Inference on Average Treatment Effects with Possibly More Covariates Than Observations written by Max Farrell and published by . This book was released on 2015 with total page 86 pages. Available in PDF, EPUB and Kindle. Book excerpt: This paper concerns robust inference on average treatment effects following model selection. In the selection on observables framework, we show how to construct confidence intervals based on a doubly-robust estimator that are robust to model selection errors and prove that they are valid uniformly over a large class of treatment effect models. The class allows for multivalued treatments with heterogeneous effects (in observables), general heteroskedasticity, and selection amongst (possibly) more covariates than observations. Our estimator attains the semiparametric efficiency bound under appropriate conditions. Precise conditions are given for any model selector to yield these results, and we show how to combine data-driven selection with economic theory. For implementation, we give a specific proposal for selection based on the group lasso and derive new technical results for high-dimensional, sparse multinomial logistic regression. A simulation study shows our estimator performs very well in finite samples over a wide range of models. Revisiting the National Supported Work demonstration data, our method yields accurate estimates and tight confidence intervals.

Book Targeted Learning

    Book Details:
  • Author : Mark J. van der Laan
  • Publisher : Springer Science & Business Media
  • Release : 2011-06-17
  • ISBN : 1441997822
  • Pages : 628 pages

Download or read book Targeted Learning written by Mark J. van der Laan and published by Springer Science & Business Media. This book was released on 2011-06-17 with total page 628 pages. Available in PDF, EPUB and Kindle. Book excerpt: The statistics profession is at a unique point in history. The need for valid statistical tools is greater than ever; data sets are massive, often measuring hundreds of thousands of measurements for a single subject. The field is ready to move towards clear objective benchmarks under which tools can be evaluated. Targeted learning allows (1) the full generalization and utilization of cross-validation as an estimator selection tool so that the subjective choices made by humans are now made by the machine, and (2) targeting the fitting of the probability distribution of the data toward the target parameter representing the scientific question of interest. This book is aimed at both statisticians and applied researchers interested in causal inference and general effect estimation for observational and experimental data. Part I is an accessible introduction to super learning and the targeted maximum likelihood estimator, including related concepts necessary to understand and apply these methods. Parts II-IX handle complex data structures and topics applied researchers will immediately recognize from their own research, including time-to-event outcomes, direct and indirect effects, positivity violations, case-control studies, censored data, longitudinal data, and genomic studies.

Book Regression and Other Stories

Download or read book Regression and Other Stories written by Andrew Gelman and published by Cambridge University Press. This book was released on 2020-07-23 with total page 551 pages. Available in PDF, EPUB and Kindle. Book excerpt: A practical approach to using regression and computation to solve real-world problems of estimation, prediction, and causal inference.

Book Efficient Estimation of Average Treatment Effects Using the Estimated Propensity Score

Download or read book Efficient Estimation of Average Treatment Effects Using the Estimated Propensity Score written by Keisuke Hirano and published by . This book was released on 2000 with total page 68 pages. Available in PDF, EPUB and Kindle. Book excerpt: We are interested in estimating the average effect of a binary treatment on a scalar outcome. If assignment to the treatment is independent of the potential outcomes given pretreatment variables, biases associated with simple treatment-control average comparisons can be removed by adjusting for differences in the pre-treatment variables. Rosenbaum and Rubin (1983, 1984) show that adjusting solely for differences between treated and control units in a scalar function of the pre-treatment, the propensity score, also removes the entire bias associated with differences in pre-treatment variables. Thus it is possible to obtain unbiased estimates of the treatment effect without conditioning on a possibly high-dimensional vector of pre-treatment variables. Although adjusting for the propensity score removes all the bias, this can come at the expense of efficiency. We show that weighting with the inverse of a nonparametric estimate of the propensity score, rather than the true propensity score, leads to efficient estimates of the various average treatment effects. This result holds whether the pre-treatment variables have discrete or continuous distributions. We provide intuition for this result in a number of ways. First we show that with discrete covariates, exact adjustment for the estimated propensity score is identical to adjustment for the pre-treatment variables. Second, we show that weighting by the inverse of the estimated propensity score can be interpreted as an empirical likelihood estimator that efficiently incorporates the information about the propensity score. Finally, we make a connection to results to other results on efficient estimation through weighting in the context of variable probability sampling.

Book Robust Causal Learning for the Estimation of Average Treatment Effects

Download or read book Robust Causal Learning for the Estimation of Average Treatment Effects written by Yiyan Huang and published by . This book was released on 2022 with total page 0 pages. Available in PDF, EPUB and Kindle. Book excerpt: Many practical decision-making problems in economics and healthcare seek to estimate the average treatment effect (ATE) from observational data. The Double/Debiased Machine Learning (DML) is one of the prevalent methods to estimate ATE in the observational study. However, the DML estimators can suffer an error-compounding issue and even give an extreme estimate when the propensity scores are misspecified or very close to 0 or 1. Previous studies have overcome this issue through some empirical tricks such as propensity score trimming, yet none of the existing literature solves this problem from a theoretical standpoint. In this paper, we propose a Robust Causal Learning (RCL) method to offset the deficiencies of the DML estimators. Theoretically, the RCL estimators i) are as consistent and doubly robust as the DML estimators, and ii) can get rid of the error-compounding issue. Empirically, the comprehensive experiments show that i) the RCL estimators give more stable estimations of the causal parameters than the DML estimators, and ii) the RCL estimators outperform the traditional estimators and their variants when applying different machine learning models on both simulation and benchmark datasets.

Book Propensity Score Analysis

Download or read book Propensity Score Analysis written by Wei Pan and published by Guilford Publications. This book was released on 2015-04-07 with total page 417 pages. Available in PDF, EPUB and Kindle. Book excerpt: This book is designed to help researchers better design and analyze observational data from quasi-experimental studies and improve the validity of research on causal claims. It provides clear guidance on the use of different propensity score analysis (PSA) methods, from the fundamentals to complex, cutting-edge techniques. Experts in the field introduce underlying concepts and current issues and review relevant software programs for PSA. The book addresses the steps in propensity score estimation, including the use of generalized boosted models, how to identify which matching methods work best with specific types of data, and the evaluation of balance results on key background covariates after matching. Also covered are applications of PSA with complex data, working with missing data, controlling for unobserved confounding, and the extension of PSA to prognostic score analysis for causal inference. User-friendly features include statistical program codes and application examples. Data and software code for the examples are available at the companion website (www.guilford.com/pan-materials).

Book Evaluating the impact of multi intervention development projects  The case of Ethiopia   s community based integrated natural resources management project

Download or read book Evaluating the impact of multi intervention development projects The case of Ethiopia s community based integrated natural resources management project written by Abate, Gashaw Tadesse and published by Intl Food Policy Res Inst. This book was released on 2021-12-09 with total page 52 pages. Available in PDF, EPUB and Kindle. Book excerpt: This paper provides a quantitative impact assessment of the community-based integrated natural resources management project (CBINReMP) in the Lake Tana region in Ethiopia during 2011-2019. By promoting greater community participation, the CBINReMP provided support to watershed communities for the restoration of degraded soils and water sources, rehabilitation of forests, as well as in obtaining access to secure land titles and practices for climate change adaptation. The project further provided support towards diversification of incomes in off-farm activities and incentives for women’s empowerment and youth employment. This way the project aimed to support rural livelihoods through improvements in household incomes, dietary diversity, agricultural productivity, and resilience to climatic shocks, among other livelihood objectives. To assess the project’s impacts, the study had to deal with numerous methodological complications owing to as the project’s nature and design. The lack of a proper baseline survey, incomplete information about targeted watershed communities and often lack of clear distinction lines between the project’s interventions and support provided to communities through other mechanisms made it hard to identify the true impact of the CBINReMP. Four additional challenges had to be faced: possible selection biases because of non-random placement (targeting) of the project; self-selection of beneficiaries into receiving the project; possible spatial spill-over effects of project benefits to non-treatment communities, and the project’s phased rollout. A propensity-score matching procedure was adopted to assess the CBINReMP’s impacts by comparing treatment (beneficiary) and control groups outcomes related to the livelihood indicators listed above. This paper discusses how the mentioned complications were addressed to provide a sound assessments of the project’s true impacts. While certain limitations remain, the key finding that can be drawn with confidence is that the CBINReMP had only very limited, quantitatively verifiable impact on rural livelihoods. It seems to have contributed to higher household incomes and some greater dietary diversity, but only where the project managed greater community participation. However, even for those beneficiaries, livelihood conditions had not become significantly more productive, diversified, resilient, or sustainable than those of the comparison group. The paper ends with recommendations on how to avoid methodological obstacles through better design of the M&E framework for multi-intervention, community-based projects.

Book Unified Methods for Censored Longitudinal Data and Causality

Download or read book Unified Methods for Censored Longitudinal Data and Causality written by Mark J. van der Laan and published by Springer Science & Business Media. This book was released on 2012-11-12 with total page 412 pages. Available in PDF, EPUB and Kindle. Book excerpt: A fundamental statistical framework for the analysis of complex longitudinal data is provided in this book. It provides the first comprehensive description of optimal estimation techniques based on time-dependent data structures. The techniques go beyond standard statistical approaches and can be used to teach masters and Ph.D. students. The text is ideally suitable for researchers in statistics with a strong interest in the analysis of complex longitudinal data.

Book The Prevention and Treatment of Missing Data in Clinical Trials

Download or read book The Prevention and Treatment of Missing Data in Clinical Trials written by National Research Council and published by National Academies Press. This book was released on 2010-12-21 with total page 163 pages. Available in PDF, EPUB and Kindle. Book excerpt: Randomized clinical trials are the primary tool for evaluating new medical interventions. Randomization provides for a fair comparison between treatment and control groups, balancing out, on average, distributions of known and unknown factors among the participants. Unfortunately, these studies often lack a substantial percentage of data. This missing data reduces the benefit provided by the randomization and introduces potential biases in the comparison of the treatment groups. Missing data can arise for a variety of reasons, including the inability or unwillingness of participants to meet appointments for evaluation. And in some studies, some or all of data collection ceases when participants discontinue study treatment. Existing guidelines for the design and conduct of clinical trials, and the analysis of the resulting data, provide only limited advice on how to handle missing data. Thus, approaches to the analysis of data with an appreciable amount of missing values tend to be ad hoc and variable. The Prevention and Treatment of Missing Data in Clinical Trials concludes that a more principled approach to design and analysis in the presence of missing data is both needed and possible. Such an approach needs to focus on two critical elements: (1) careful design and conduct to limit the amount and impact of missing data and (2) analysis that makes full use of information on all randomized participants and is based on careful attention to the assumptions about the nature of the missing data underlying estimates of treatment effects. In addition to the highest priority recommendations, the book offers more detailed recommendations on the conduct of clinical trials and techniques for analysis of trial data.

Book Semiparametric Theory and Missing Data

Download or read book Semiparametric Theory and Missing Data written by Anastasios Tsiatis and published by Springer Science & Business Media. This book was released on 2007-01-15 with total page 392 pages. Available in PDF, EPUB and Kindle. Book excerpt: This book summarizes current knowledge regarding the theory of estimation for semiparametric models with missing data, in an organized and comprehensive manner. It starts with the study of semiparametric methods when there are no missing data. The description of the theory of estimation for semiparametric models is both rigorous and intuitive, relying on geometric ideas to reinforce the intuition and understanding of the theory. These methods are then applied to problems with missing, censored, and coarsened data with the goal of deriving estimators that are as robust and efficient as possible.

Book The Effect

    Book Details:
  • Author : Nick Huntington-Klein
  • Publisher : CRC Press
  • Release : 2021-12-20
  • ISBN : 1000509141
  • Pages : 646 pages

Download or read book The Effect written by Nick Huntington-Klein and published by CRC Press. This book was released on 2021-12-20 with total page 646 pages. Available in PDF, EPUB and Kindle. Book excerpt: Extensive code examples in R, Stata, and Python Chapters on overlooked topics in econometrics classes: heterogeneous treatment effects, simulation and power analysis, new cutting-edge methods, and uncomfortable ignored assumptions An easy-to-read conversational tone Up-to-date coverage of methods with fast-moving literatures like difference-in-differences

Book Econometric Analysis of Cross Section and Panel Data  second edition

Download or read book Econometric Analysis of Cross Section and Panel Data second edition written by Jeffrey M. Wooldridge and published by MIT Press. This book was released on 2010-10-01 with total page 1095 pages. Available in PDF, EPUB and Kindle. Book excerpt: The second edition of a comprehensive state-of-the-art graduate level text on microeconometric methods, substantially revised and updated. The second edition of this acclaimed graduate text provides a unified treatment of two methods used in contemporary econometric research, cross section and data panel methods. By focusing on assumptions that can be given behavioral content, the book maintains an appropriate level of rigor while emphasizing intuitive thinking. The analysis covers both linear and nonlinear models, including models with dynamics and/or individual heterogeneity. In addition to general estimation frameworks (particular methods of moments and maximum likelihood), specific linear and nonlinear methods are covered in detail, including probit and logit models and their multivariate, Tobit models, models for count data, censored and missing data schemes, causal (or treatment) effects, and duration analysis. Econometric Analysis of Cross Section and Panel Data was the first graduate econometrics text to focus on microeconomic data structures, allowing assumptions to be separated into population and sampling assumptions. This second edition has been substantially updated and revised. Improvements include a broader class of models for missing data problems; more detailed treatment of cluster problems, an important topic for empirical researchers; expanded discussion of "generalized instrumental variables" (GIV) estimation; new coverage (based on the author's own recent research) of inverse probability weighting; a more complete framework for estimating treatment effects with panel data, and a firmly established link between econometric approaches to nonlinear panel data and the "generalized estimating equation" literature popular in statistics and other fields. New attention is given to explaining when particular econometric methods can be applied; the goal is not only to tell readers what does work, but why certain "obvious" procedures do not. The numerous included exercises, both theoretical and computer-based, allow the reader to extend methods covered in the text and discover new insights.

Book Propensity Score Analysis

Download or read book Propensity Score Analysis written by Shenyang Guo and published by SAGE. This book was released on 2015 with total page 449 pages. Available in PDF, EPUB and Kindle. Book excerpt: Provides readers with a systematic review of the origins, history, and statistical foundations of Propensity Score Analysis (PSA) and illustrates how it can be used for solving evaluation and causal-inference problems.