Question: 5.4 For the data in Problem 5.3, create ten multiply imputed data sets with different sets of conditional draws of the parameters, using the method
5.4 For the data in Problem 5.3, create ten multiply imputed data sets with different sets of conditional draws of the parameters, using the method of Problem 5.3. Compute 90% intervals for the mean and coefficient of variation of Y2 using Eqs. (5.17)–(5.23), and compare with the single-imputation interval based on the first set of imputations. Estimate the fraction of missing information for each parameter estimate using Eq. (5.21).
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