What Are the Limits of Posterior Distributions Arising From Nonidentified Models, and Why Should We Care?
From MaRDI portal
Publication:3069898
DOI10.1198/JASA.2009.TM08603zbMath1205.62169OpenAlexW2081130103MaRDI QIDQ3069898
Publication date: 1 February 2011
Published in: Journal of the American Statistical Association (Search for Journal in Brave)
Full work available at URL: https://doi.org/10.1198/jasa.2009.tm08603
Related Items (7)
A Bayesian model averaging approach to analyzing categorical data with nonignorable nonresponse ⋮ A practical approach to parameter estimation applied to model predicting heart rate regulation ⋮ Delta-method inference for a class of set-identified SVARs ⋮ Exploiting multiple outcomes in Bayesian principal stratification analysis with application to the evaluation of a job training program ⋮ The Importance and Challenges of Bayesian Parameter Learning in Systems Biology ⋮ Causal inference: a missing data perspective ⋮ Identification of causal effects within principal strata using auxiliary variables
This page was built for publication: What Are the Limits of Posterior Distributions Arising From Nonidentified Models, and Why Should We Care?