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Bounds on the Distribution of a Sum of Two Random Variables: Revisiting a problem of Kolmogorov with application to Individual Treatment Effects

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arxiv 2405.08806 v2 pith:WTYD7Y3C submitted 2024-05-14 math.ST econ.EMmath.PRstat.TH

classification math.STecon.EMmath.PRstat.TH
keywords distributiongivenproblemboundsdistributionseffectsindividualkolmogorov
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abstract

We revisit the following problem, proposed by Kolmogorov: given prescribed marginal distributions $F$ and $G$ for random variables $X,Y$ respectively, characterize the set of compatible distribution functions for the sum $Z=X+Y$. Bounds on the distribution function for $Z$ were first given by Markarov (1982) and R\"uschendorf (1982) independently. Frank et al. (1987) provided a solution to the same problem using copula theory. However, though these authors obtain the same bounds, they make different assertions concerning their sharpness. In addition, their solutions leave some open problems in the case when the given marginal distribution functions are discontinuous. These issues have led to some confusion and erroneous statements in subsequent literature, which we correct. Kolmogorov's problem is closely related to inferring possible distributions for individual treatment effects $Y_1 - Y_0$ given the marginal distributions of $Y_1$ and $Y_0$; the latter being identified from a randomized experiment. We use our new insights to sharpen and correct the results due to Fan and Park (2010) concerning individual treatment effects, and to fill some other logical gaps.

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  1. Individual Treatment Effect: Prediction Intervals and Sharp Bounds

    stat.ME 2025-06 conditional novelty 6.0 of 10

    Valid prediction intervals for individual treatment effects from large RCTs are trivial unless response rates are extreme, and sharp pmf bounds are given by sums of Fréchet cell bounds.

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