Description Usage Arguments Details WARNINGS Author(s) See Also Examples

`AT2`

can be used to calculate the sample average treatment effect from a two-part model, with
corresponding interval obtained using posterior simulation.

1 2 3 4 |

`x1` |
A fitted |

`x2` |
A fitted |

`index1` |
This is useful to pick a particular individual. |

`index2` |
As above. |

`n.sim` |
Number of simulated coefficient vectors from the posterior distribution of the estimated model parameters. This is used
when |

`prob.lev` |
Overall probability of the left and right tails of the AT distribution used for interval calculations. |

`hd.plot` |
If |

`main` |
Title for the plot. |

`xlab` |
Title for the x axis. |

`...` |
Other graphics parameters to pass on to plotting commands. These are used only when |

AT measures the sample average effect from a two-part model when a binary response (associated with a continuous outcome) takes values 0 and 1. Posterior simulation is used to obtain a confidence/credible interval.

This function is only suitable for `SemiParBIV()`

.

Maintainer: Giampiero Marra [email protected]

`JRM-package`

, `SemiParBIV`

, `summary.SemiParBIV`

1 | ```
## see examples for SemiParBIV
``` |

JRM documentation built on July 13, 2017, 5:03 p.m.

Embedding an R snippet on your website

Add the following code to your website.

For more information on customizing the embed code, read Embedding Snippets.