Description Usage Format References See Also Examples
This data set contains observations from a simulated randomized response survey. The interest variable is a normal distribution with mean 1500 and standard deviation 4. The sample is drawn by simple random sampling without replacement. The randomized response technique used is the Diana and Perri 2 model (Diana and Perri, 2010) with parameters W=F(10,50), U=F(1,5) and β=0.8.
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A data frame containing 1000 observations from a population of N=100000. The variables are:
ID: Survey ID
z: The randomized response
Pi: first-order inclusion probabilities
Diana, G., Perri, P.F. (2010). New scrambled response models for estimating the mean of a sensitive quantitative character. Journal of Applied Statistics 37 (11), 1875–1890.
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