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Properties of the beta regression model for small area estimation of proportions and application to estimation of poverty rates

机译:比例估计比例的β回归模型的特性及贫困率估算

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Linear mixed effects models have been popular in small area estimation problems for modeling survey data when the sample size in one or more areas is too small for reliable inference. However, when the data are restricted to a bounded interval, the linear model may be inappropriate, particularly if the data are near the boundary. Nonlinear sampling models are becoming increasingly popular for small area estimation problems when the normal model is inadequate. This paper studies the use of a beta distribution as an alternative to the normal distribution as a sampling model for survey estimates of proportions which take values in (0, 1). Inference for small area proportions based on the posterior distribution of a beta regression model ensures that point estimates and credible intervals take values in (0, 1). Properties of a hierarchical Bayesian small area model with a beta sampling distribution and logistic link function are presented and compared to those of the linear mixed effect model. Propriety of the posterior distribution using certain noninformative priors is shown, and behavior of the posterior mean as a function of the sampling variance and the model variance is described. An example using 2010 Small Area Income and Poverty Estimates (SAIPE) data is given, and a numerical example studying small sample properties of the model is presented.
机译:线性混合效果模型在小区估计问题中受欢迎,用于在一个或多个区域中的样本大小太小以可靠推理时模拟调查数据。然而,当数据限于界限间隔时,线性模型可能是不合适的,特别是如果数据靠近边界。当正常模型不充分时,非线性采样模型变得越来越受到小区估计问题的流行。本文研究了测试β发行作为正常分布的替代品,作为对调查估计值的采样模型,其价值在(0,1)中。基于Beta回归模型的后部分布的小面积比例的推断可确保点估计和可信的间隔在(0,1)中取得值。提出了具有β采样分布和物流链接功能的分层贝叶斯小区模型的性质,并与线性混合效果模型相比。示出了使用某些非信息前沿的后部分布的适当分布,并且描述了作为采样方差的函数的后均值和模型方差的行为。给出了使用2010年小面积收入和贫困估计(SAIPE)数据的示例,并提出了研究模型的小样本性质的数值示例。

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