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Bridging Methodological Divides Between Macro- and Microresearch: Endogeneity and Methods for Panel Data

机译:缩小宏观研究与微观研究之间的方法论鸿沟:内生性和面板数据的方法

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摘要

Both macro- and micro-oriented researchers frequently use panel data where the outcome of interest is measured repeated times. Panel data support at least five different modeling frameworks (within, between, incremental/emergent, cross-level, and growth). Researchers from macro- and micro-oriented domains tend to differentially use the frameworks and also use different analytic tools and terminology when using the same modeling framework. These differences have the potential to inhibit cross-discipline communication. In this review, we explore how macro- and microresearchers approach panel data with a specific emphasis on the theoretical implications of choosing one framework versus another. We illustrate how fixed-effects and random-effects models differ and how they are similar, and we conduct a thorough review of 142 articles that used panel data in leading management journals in 2017. Ultimately, our review identifies ways that researchers can better employ fixed- and random-effects models, model time as a meaningful predictor or ensure unobserved time heterogeneity is controlled, and align hypotheses to analytic choice. In the end, our goal is to help facilitate communication and theory development between macro- and micro-oriented management researchers.
机译:面向宏观和微观的研究人员都经常使用面板数据,在这些数据中,重复测量感兴趣的结果。面板数据至少支持五个不同的建模框架(在内部/之间,增量/紧急情况,跨级别和增长)。宏观和微观领域的研究人员倾向于使用不同的框架,并且在使用相同的建模框架时也使用不同的分析工具和术语。这些差异可能会抑制跨学科交流。在这篇综述中,我们探索宏观和微观研究者如何处理面板数据,并特别强调选择一个框架与另一个框架的理论含义。我们举例说明固定效应模型和随机效应模型之间的差异以及它们之间的相似性,我们对2017年在领先管理期刊中使用面板数据的142篇文章进行了全面审查。最终,我们的审查确定了研究人员可以更好地采用固定收益模型的方式-和随机效应模型,将时间建模为有意义的预测指标,或确保控制未观察到的时间异质性,并使假设与分析选择保持一致。最后,我们的目标是帮助促进面向宏观和微观的管理研究人员之间的交流和理论发展。

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