A simulated data set where one rater assigns ratings over the years \(2001\) to \(2010\) for a set of firms.
The IDs for each subject \(i\) of the \(n = 1000\) firms are stored in the column firm_id.
The year of the rating observation is stored in the column year.
The ordinal ratings are provided in the column rating and all the covariates in the remaining columns.
data(data_mvord_panel)A data frame with 10000 rows and 9 variables
firm_id firm index
year year index (2001 - 2010)
rating ordinal credit ratings
X1 covariate X1
X2 covariate X2
X3 covariate X3
X4 covariate X4
X5 covariate X5
X6 covariate X6 (factor)