Fitting and Interpreting Correlated Random-coefficient Models Using Stata
Author:
Affiliation:
1. University of California Davis, CA
2. University of Saskatchewan Saskatoon, Canada
3. University of Wisconsin Madison, WI
Abstract
Publisher
SAGE Publications
Subject
Mathematics (miscellaneous)
Link
http://journals.sagepub.com/doi/pdf/10.1177/1536867X1801800109
Reference9 articles.
1. Consumption Inequality and Partial Insurance
2. Chapter 22 Panel data
3. Instrumental Variables Methods for the Correlated Random Coefficient Model: Estimating the Average Rate of Return to Schooling When the Return is Correlated with Schooling
4. On the Pooling of Time Series and Cross Section Data
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