Seminar Public Finance (MW23.4) - Summer Term 2021

Empirical Causal Analysis: Methods and Applications to Public Policies.

Content

In this seminar, we will deal with empirical methods for identifying causal effects and their application to concrete (public) policies or events. After having clarified why it is so important to estimate causal effects rather than correlations (or accidental associations), we will take a closer look at those econometric methods most commonly used by economists to identify causal effects, such as panel-data techniques, controlled experiments, instrumental variables, differences-in-differences and regression discontinuities. A focus will be put on the necessary prerequisites for applying the respective methods, possible problems and solution strategies, as well as on the estimated effects (in relation to the specific research question).

Requirements

You will have to read and understand chapters of econometric textbooks, as well as original empirical research papers as part of this course. A solid background in statistics and regression analysis is a necessary perquisite in order to successfully pass this course. We highly recommend taking "Empirical Methods" (MW24.1) before this seminar.

Important Remarks

The Chair of Public Finance follows a zero-tolerance policy with respect to plagiarism. In our seminar in the winter term 2018/19, more than 20% of the students failed because of plagiarism in their seminar papers. Please read again carefully the slides about plagiarism and conduct the test on "How to Cite/ How to Avoid Plagiarism" available in the Moodle-course "Approaches to Economic Science" ("WS2020-Approaches"). (If you do not have access to this Moodle-course, contact Patrick Bareinz.)

Timeframe
January 2021 Central registration

11 Feb 2021

10.00 - 11.00 h
For those students allocated to this seminar: Meeting and presentation of topics (via Zoom)
19 Feb 2021 Choice of preferred topics and preferred start date (see next item). The topics’ preferences serve as the basis for the allocation of topics.

02 March 2021,
16 March 2021 or
30 March 2021

Start of your individual writing period. You can choose to receive your topic on either Tuesday, March 02, March 16, or March 30.

After receiving your topic, you have 5 weeks to complete a first version of your seminar paper. The paper will then be refereed by another student within 1 week. After receiving the referee report you have 2 more weeks to improve your paper on the basis of the referee's comments.

26 April 2021,
10 May 2021 or
24 May 2021

(depending on starting date)

Submission of the final version of your seminar paper (depending on start date). The deadline is midnight from Monday to Tuesday.
Soon after Time plan for the seminar (incl. allocation of discussants)
June 2021 Seminar (blocked, via Zoom)

Guidelines

For guidelines and regulations, see hereExternal link

Topics

To submit your topic preferences and review the slides after the information event on 11 February 2021, please go to https://moodle.uni-jena.de/External link ("Seminar Public Finance (MW23.4) - Summer Term 2021").  You will also find further information and materials on the seminar there.