4.4 Article

Missing Data: Five Practical Guidelines

Journal

ORGANIZATIONAL RESEARCH METHODS
Volume 17, Issue 4, Pages 372-411

Publisher

SAGE PUBLICATIONS INC
DOI: 10.1177/1094428114548590

Keywords

missing data; full information maximum likelihood (FIML); EM algorithm; multiple imputation; R syntax/R code

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Missing data (a) reside at three missing data levels of analysis (item-, construct-, and person-level), (b) arise fromthree missing datamechanisms(missing completely at random, missing at random, and missing not at random) that range from completely random to systematic missingness, (c) can engender two missing data problems (biased parameter estimates and inaccurate hypothesis tests/inaccurate standard errors/low power), and (d) mandate a choice from among several missing data treatments (listwise deletion, pairwise deletion, single imputation, maximum likelihood, and multiple imputation). Whereas all missing data treatments are imperfect and are rooted in particular statistical assumptions, some missing data treatments are worse than others, on average (i. e., they lead to more bias in parameter estimates and less accurate hypothesis tests). Social scientists still routinely choose the more biased and error-prone techniques (listwise and pairwise deletion), likely due to poor familiarity with and misconceptions about the less biased/less error-prone techniques (maximum likelihood and multiple imputation). The current user-friendly review provides five easy-to-understand practical guidelines, with the goal of reducing missing data bias and error in the reporting of research results. Syntax is provided for correlation, multiple regression, and structural equation modeling with missing data.

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