Distributional Effects with Two-Sided Measurement Error: An Application to Intergenerational Income Mobility (opens in new tab)
This paper considers identification and estimation of distributional effect parameters that depend on the joint distribution of an outcome and another variable of interest ("treatment") in a setting with "two-sided" measurement error -- that is, where both variables are possibly measured with error. Examples of these parameters in the context of intergenerational income mobility include transition matrices, rank-rank correlations, and the po...
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