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Standardization in Causal Analysis

Author

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  • Jae-On Kim
  • G. Donald Ferree Jr.

Abstract

In comparative study, it is argued that (1) the standardization of variables and scales should be separated from the habitual use of standardized coefficients; (2) the use of standardized coefficients implies standardizing every variable using group specific standards, and, therefore, it is not appropriate even if some variables have group specific metrics or some variables do not possess commonly accepted metrics; and (3) the explicit standardization of some or all variables can be fruitfully combined with the use of unstandardized coefficients.

Suggested Citation

  • Jae-On Kim & G. Donald Ferree Jr., 1981. "Standardization in Causal Analysis," Sociological Methods & Research, , vol. 10(2), pages 187-210, November.
  • Handle: RePEc:sae:somere:v:10:y:1981:i:2:p:187-210
    DOI: 10.1177/004912418101000203
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    References listed on IDEAS

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    1. Cnudde, Charles F. & McCrone, Donald J., 1966. "The Linkage between Constituency Attitudes and Congressional Voting Behavior: A Causal Model," American Political Science Review, Cambridge University Press, vol. 60(1), pages 66-72, March.
    2. Forbes, Hugh Donald & Tufte, Edward R., 1968. "A Note of Caution in Causal Modelling," American Political Science Review, Cambridge University Press, vol. 62(4), pages 1258-1264, December.
    3. Miller, Warren E. & Stokes, Donald E., 1963. "Constituency Influence in Congress," American Political Science Review, Cambridge University Press, vol. 57(1), pages 45-56, March.
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    2. A. Israëls, 1987. "Path analysis for mixed qualitative and quantitative variables," Quality & Quantity: International Journal of Methodology, Springer, vol. 21(1), pages 91-102, March.
    3. Mecking, Rebecca-Ariane & Roosen, Jutta, 2015. "Consumer empowerment in food retailing and the role of altruistic motives: an application of the theory of planned behavior," 143rd Joint EAAE/AAEA Seminar, March 25-27, 2015, Naples, Italy 202698, European Association of Agricultural Economists.
    4. Moreno, Antonio & Orlando, James & Redin, Dulce M., 2016. "The macro-finance environment and asset allocation: A simultaneous equation approach," Finance Research Letters, Elsevier, vol. 18(C), pages 199-204.
    5. Isaiah Andrews & Matthew Gentzkow & Jesse M. Shapiro, 2017. "Measuring the Sensitivity of Parameter Estimates to Estimation Moments," The Quarterly Journal of Economics, Oxford University Press, vol. 132(4), pages 1553-1592.

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