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Staff Bios

Erik Meijer Send Email

Economist

Santa Monica Office

Education

Ph.D. in social sciences, Leiden University; M.A. in econometrics, University of Groningen

Expertise

Applied econometrics; economics of aging; labor economics

Policy Areas

Retirement behavior; labor markets; Social Security

Recent Projects

  • Health indexes and retirement modeling in international comparisons
  • Estimation of potential eligibility for low-income subsidies under Medicare Part D

Selected Publications

Rouwendal, J., & Meijer, E. (2001). Preferences for housing, jobs, and commuting: A mixed logit analysis. Journal of Regional Science, 41, 475–505.

De Haan, J., Leertouwer, E., Meijer, E., & Wansbeek, T. (2003). Measuring central bank independence: A latent variables approach. Scottish Journal of Political Economy, 50, 326–340.

Meijer, E., & Rouwendal, J. (2006). Measuring welfare effects in models with random coefficients. Journal of Applied Econometrics, 21, 227–244.

Gilbert, P. D., & Meijer, E. (2006). Money and credit factors (Working Paper No. 2006-3). Ottawa: Bank of Canada.

Meijer, E., & Wansbeek, T. (2007). The sample selection model from a method of moments perspective. Econometric Reviews, 26, 25–51.

Meijer, E., Rohwedder, S., & Wansbeek, T. (2007). Prediction of latent variables in a mixture of structural equation models, with an application to the discrepancy between survey and register data (UvA Econometrics Discussion Paper No. 2007/05). Amsterdam: University of Amsterdam, Amsterdam School of Economics, Department of Quantitative Economics.

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