Maya,
it's the first interpretation, the sd of the distribution of the
100 estimates.
Holger
Maya Sen wrote:
just a quick question.
on the last problem, it asks us to find the standard deviation of the
beta estimates from the bootstrapped samples.
does the problem refer to the standard deviation of the distribution of
these estimates (i.e., using the var() function, or something like that)?
or is it referring to the standard errors produced by the 100
regressions done on these bootstrapped samples (i.e., taking the mean of
the standard error coefficients, or something like that)?
thanks,
maya
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Holger Lutz Kern
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Cornell University
Institute for Quantitative Social Science
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