Multiple Imputation with Massive Data: An Application to the Panel Study of Income Dynamics

被引:3
|
作者
Si, Yajuan [1 ]
Heeringa, Steve [1 ]
Johnson, David [1 ]
Little, Roderick J. A. [1 ,2 ]
Liu, Wenshuo [3 ]
Pfeffer, Fabian [1 ,4 ]
Raghunathan, Trivellore [1 ,5 ]
机构
[1] Univ Michigan, Survey Res Ctr, Inst Social Res, ISR 4014,426 Thompson St, Ann Arbor, MI 48104 USA
[2] Sch Publ Hlth, Dept Biostat, 1415 Washington Hts, Ann Arbor, MI 48109 USA
[3] Interactions LLC, Res & Innovat, 31 Hayward St Suite E, Franklin, MA 02038 USA
[4] Univ Michigan, Dept Sociol, 426 Thompson St, Ann Arbor, MI 48104 USA
[5] Univ Michigan, Survey Res Ctr, Sch Publ Hlth, Inst Social Res,Dept Biostat, Ann Arbor, MI 48109 USA
关键词
Diagnostics; Efficiency; Massive Data; Missing Data; Validity; VARIABLES;
D O I
10.1093/jssam/smab038
中图分类号
O1 [数学]; C [社会科学总论];
学科分类号
03 ; 0303 ; 0701 ; 070101 ;
摘要
Multiple imputation (MI) is a popular and well-established method for handling missing data in multivariate data sets, but its practicality for use in massive and complex data sets has been questioned. One such data set is the Panel Study of Income Dynamics (PSID), a longstanding and extensive survey of household income and wealth in the United States. Missing data for this survey are currently handled using traditional hot deck methods because of the simple implementation; however, the univariate hot deck results in large random wealth fluctuations. MI is effective but faced with operational challenges. We use a sequential regression/chained-equation approach, using the software IVEware, to multiply impute cross-sectional wealth data in the 2013 PSID, and compare analyses of the resulting imputed data with those from the current hot deck approach. Practical difficulties, such as non-normally distributed variables, skip patterns, categorical variables with many levels, and multicollinearity, are described together with our approaches to overcoming them. We evaluate the imputation quality and validity with internal diagnostics and external benchmarking data. MI produces improvements over the existing hot deck approach by helping preserve correlation structures, such as the associations between PSID wealth components and the relationships between the household net worth and sociodemographic factors, and facilitates completed data analyses with general purposes. MI incorporates highly predictive covariates into imputation models and increases efficiency. We recommend the practical implementation of MI and expect greater gains when the fraction of missing information is large.
引用
收藏
页码:260 / 283
页数:24
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