Search results
Results from the WOW.Com Content Network
The multivariate probit model is a standard method of estimating a joint relationship between several binary dependent variables and some independent variables. For categorical variables with more than two values there is the multinomial logit. For ordinal variables with more than two values, there are the ordered logit and ordered probit models.
In statistics, bivariate data is data on each of two variables, where each value of one of the variables is paired with a value of the other variable. [1] It is a specific but very common case of multivariate data. The association can be studied via a tabular or graphical display, or via sample statistics which might be used for inference.
Regression is a statistical technique used to help investigate how variation in one or more variables predicts or explains variation in another variable. Bivariate regression aims to identify the equation representing the optimal line that defines the relationship between two variables based on a particular data set.
A correlation coefficient is a numerical measure of some type of linear correlation, meaning a statistical relationship between two variables. [a] The variables may be two columns of a given data set of observations, often called a sample, or two components of a multivariate random variable with a known distribution.
Statistical analysis of a data set often reveals that two variables (properties) of the population under consideration tend to vary together, as if they were connected. For example, a study of annual income that also looks at age of death, might find that poor people tend to have shorter lives than affluent people.
Discriminant analysis, or canonical variate analysis, attempts to establish whether a set of variables can be used to distinguish between two or more groups of cases. Linear discriminant analysis (LDA) computes a linear predictor from two sets of normally distributed data to allow for classification of new observations.
A set of random variables, any two of which are independent. parameter Any measured quantity of a statistical population that summarizes or describes an aspect of the population, e.g. a mean or a standard deviation ; often a quantity to be estimated based on the corresponding quantity calculated by drawing random samples from the population.
Let two groups of variables defined on the same set of individuals. Group 1 is composed of two uncorrelated variables A and B. Group 2 is composed of two variables {C1, C2} identical to the same variable C uncorrelated with the first two. This example is not completely unrealistic.