A bootstrap approach for bandwidth selection in estimating conditional efficiency measures

被引:34
作者
Badin, Luiza [1 ,2 ]
Daraio, Cinzia [3 ]
Simar, Leopold [3 ,4 ]
机构
[1] Bucharest Univ Econ Studies, Dept Appl Math, Bucharest, Romania
[2] Gh Mihoc C Iacob Inst Math Stat & Appl Math, Bucharest, Romania
[3] Sapienza Univ Rome, Dept Comp Control & Management Engn A Ruberti DIA, Rome, Italy
[4] Catholic Univ Louvain, Inst Stat Biostat & Sci Actuarielles, Voie Roman Pays 20, B-1348 Louvain La Neuve, Belgium
关键词
Data Envelopment Analysis (DEA)/Free; Disposal Hull (FDH); Conditional efficiency; Bandwidth; Bootstrap; Monte Carlo; COUNTRIES ENVIRONMENTAL EFFICIENCY; NONPARAMETRIC FRONTIER MODELS; WATER TREATMENT PLANTS; ORDER-M EFFICIENCY; TECHNICAL EFFICIENCY; NATIONAL CULTURE; PERFORMANCE;
D O I
10.1016/j.ejor.2019.02.054
中图分类号
C93 [管理学];
学科分类号
12 ; 1201 ; 1202 ; 120202 ;
摘要
Conditional efficiency measures are needed when the production process does not depend only on the inputs and outputs, but may be influenced by external factors and/or environmental variables (Z). They are estimated by means of a nonparametric estimator of the conditional distribution function of the inputs and outputs, conditionally on values of Z. For doi ng this, smoothing procedures and smoothing parameters, the bandwidths, are involved. So far, Least Squares Cross Validation (LSCV) methods have been used, which have been proven to provide bandwidths with optimal rates for estimating conditional distributions. In efficiency analysis, the main interest is in the estimation of the conditional efficiency score, which typically depends on the boundary of the support of the distribution and not on the full conditional distribution. In this paper, we show indeed that the rate for the bandwidths which is optimal for estimating conditional distributions, may not be optimal for the estimation of the efficiency scores. We propose hence a new approach based on the bootstrap which overcomes these difficulties. We analyze and compare, through Monte Carlo simulations, the performances of LSCV techniques with our bootstrap approach in finite samples. As expected, our bootstrap approach shows generally better performances and is more robust to the various Monte Carlo scenarios analyzed. We also illustrate our methodology through an empirical example using an US Aggressive-Growth Mutual Funds data set. (C) 2019 Elsevier B.V. All rights reserved.
引用
收藏
页码:784 / 797
页数:14
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