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Research Article

Leveraging random assignment to impute missing covariates in causal studies

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Pages 1275-1305 | Received 09 Mar 2020, Accepted 08 Nov 2020, Published online: 24 Nov 2020
 

ABSTRACT

Baseline covariates in randomized experiments are often used in the estimation of treatment effects, for example, when estimating treatment effects within covariate-defined subgroups. In practice, however, covariate values may be missing for some data subjects. To handle missing values, analysts can use imputation methods to create completed datasets, from which they can estimate treatment effects. Common imputation methods include mean imputation, single imputation via regression, and multiple imputation. For each of these methods, we investigate the benefits of leveraging randomized treatment assignment in the imputation routines, that is, making use of the fact that the true covariate distributions are the same across treatment arms. We do so using simulation studies that compare the quality of inferences when we respect or disregard the randomization. We consider this question for imputation routines implemented using covariates only, and imputation routines implemented using the outcome variable. In either case, accounting for randomization offers only small gains in accuracy for our simulation scenarios. Our results also shed light on the performances of these different procedures for imputing missing covariates in randomized experiments when one seeks to estimate heterogeneous treatment effects.

2010 Mathematics Subject Classification:

Disclosure statement

No potential conflict of interest was reported by the author(s).

Notes

Note: NA represents a missing value.

Note: True values of βt=0.3 and βtx2=0.5.

Note: True values of βt=0.3 and βtx2=0.015.

Additional information

Funding

This work was supported by the National Science Foundation under award SES-1131897.

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