Hi all,
as Justin already announced in class,
please read pp. 97-114 in Unifying Political Methodology (and
make sure that you've read chapter 3) and also read
King, Tomz, and Wittenberg. 2000. Making the Most of Statistical
Analyses: Improving Interpretation and Presentation. American
Journal of Political Science 44 (2): 341?355, available at
http://gking.harvard.edu/files/making.pdf
cheers,
Holger
--
Holger Lutz Kern
Graduate Student
Department of Government
Cornell University
Institute for Quantitative Social Science
Harvard University
1737 Cambridge Street N350
Cambridge, MA 02138
www.people.cornell.edu/pages/hlk23
Hey Everyone,
As Andrew has graciously pointed out, we neglected to discuss how to
reparameterize the hessian to get the correct standard errors. This is a
topic that we'll be better equipped to discuss next week when we have
learned about simulation of maximum likelihood parameters. Until then,
you need only report the parameter
estimates for problem 1.5.
Once again, we only need the maximum likelihood estimates of $\pi$ for
problem 1.5
Cheers,
Justin
hello all,
i) the next problem set, the solution and R code for ps 3, the
handout from section today and all the R code from section today
have been posted.
ii) please don't hesitate to post on the mailing list with
questions about R, LaTeX, or statistical issues related to the
problem sets and the course more generally. Both basic and more
technical questions are welcome!
iii) please don't hesitate to come to our office hours with
questions about R, LaTeX, the problem sets, or anything else.
We're there to help you.
cheers,
Holger
--
Holger Lutz Kern
Graduate Student
Department of Government
Cornell University
Institute for Quantitative Social Science
Harvard University
1737 Cambridge Street N350
Cambridge, MA 02138
www.people.cornell.edu/pages/hlk23