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dc.contributor.authorBarceló Varona, Cristina
dc.coverage.spatialEspaña
dc.date.accessioned2019-08-10T17:05:06Z
dc.date.available2019-08-10T17:05:06Z
dc.date.issued2006
dc.identifier.issn1696-2222 (en papel)
dc.identifier.issn1696-2230 (en línea)
dc.identifier.urihttps://repositorio.bde.es/handle/123456789/6313
dc.descriptionIncluye bibliografía
dc.description.abstractThis paper describes the methods used for imputation of the first wave of the Spanish Survey of Household Finances (EFF). It explains the motivation for using multiple imputation and describes its specific features, such as the use of the shadow values that flag each variable of the questionnaire, the different types of covariates used in the imputation models and the means of evaluating both the imputed values and the convergence of the imputation process. [resumen de autor]
dc.format.extent46 p. : fórmulas
dc.language.isoeng
dc.publisherBanco de España
dc.relation.ispartofDocumentos ocasionales / Banco de España, 0603
dc.rightsReconocimiento-NoComercial-CompartirIgual 4.0 Internacional (CC BY-NC-SA 4.0)
dc.rightsIn Copyright - Non Commercial Use Permitted
dc.rights.urihttps://creativecommons.org/licenses/by-nc-sa/4.0/deed.es_ES
dc.rights.urihttp://rightsstatements.org/vocab/InC-NC/1.0/
dc.subjectHousehold wealth survey
dc.subjectImputation methods
dc.titleImputation of the 2002 wave of the Spanish survey of household finances (EFF)
dc.typeLibro
dc.identifier.bdebib000186539
dc.identifier.bdepubDOCA-200603-eng
dc.subject.bdeEconomía del consumo y del ahorro
dc.publisher.bdeMadrid : Banco de España, 2006
dc.subject.jelD10
dc.subject.jelC81
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