Hi, I have dataset of around 7000 ipos from 34 countries and I am willing to check if the factors studied in "Global Evidence on Economic Preferences" like trust, patience has an impact on this returns or not? Being unbalance panel dataset, i was thinking a random effect regression but I am not sure? Also, how shall I segregate my data as I have ipo data from 2013-2018 and it includes various ipos returns information in each countries, while under independent variable I have single value for each given by the author of "Global Evidence on Economic Preferences"
For instance,
Attachement 01 for patience value
Attachement 02 for ipo returns value
is regression possible in this situation? Please guide if you can!!
If anyone has any questions related to my questions please free to ask I would happy to explain more about problem.
Thank you for your time!!
Best Regards,
Tapan
For instance,
Attachement 01 for patience value
Attachement 02 for ipo returns value
is regression possible in this situation? Please guide if you can!!
If anyone has any questions related to my questions please free to ask I would happy to explain more about problem.
Thank you for your time!!
Best Regards,
Tapan
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