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  2. Multivariate analysis of covariance - Wikipedia

    en.wikipedia.org/wiki/Multivariate_analysis_of...

    The aim of such techniques as ANCOVA is to remove the effects of such uncontrolled variation, in order to increase statistical power and to ensure an accurate measurement of the true relationship between independent and dependent variables. [8] An example is provided by the analysis of trend in sea-level by Woodworth (1987). [9]

  3. Mixed-design analysis of variance - Wikipedia

    en.wikipedia.org/wiki/Mixed-design_analysis_of...

    [5] [page needed] The main difference between the sum of squares of the within-subject factors and between-subject factors is that within-subject factors have an interaction factor. More specifically, the total sum of squares in a regular one-way ANOVA would consist of two parts: variance due to treatment or condition (SS between-subjects ) and ...

  4. Two-way analysis of variance - Wikipedia

    en.wikipedia.org/wiki/Two-way_analysis_of_variance

    In statistics, the two-way analysis of variance (ANOVA) is an extension of the one-way ANOVA that examines the influence of two different categorical independent variables on one continuous dependent variable. The two-way ANOVA not only aims at assessing the main effect of each independent variable but also if there is any interaction between them.

  5. Regression analysis - Wikipedia

    en.wikipedia.org/wiki/Regression_analysis

    The assumption of a particular form for the relation between Y and X is another source of uncertainty. A properly conducted regression analysis will include an assessment of how well the assumed form is matched by the observed data, but it can only do so within the range of values of the independent variables actually available.

  6. Analysis of variance - Wikipedia

    en.wikipedia.org/wiki/Analysis_of_variance

    The experimental methods used in the study of the personal equation were later accepted by the emerging field of psychology [6] which developed strong (full factorial) experimental methods to which randomization and blinding were soon added. [7] An eloquent non-mathematical explanation of the additive effects model was available in 1885. [8]

  7. Repeated measures design - Wikipedia

    en.wikipedia.org/wiki/Repeated_measures_design

    Repeated measures analysis of variance (rANOVA) is a commonly used statistical approach to repeated measure designs. [3] With such designs, the repeated-measure factor (the qualitative independent variable) is the within-subjects factor, while the dependent quantitative variable on which each participant is measured is the dependent variable.

  8. Dependent and independent variables - Wikipedia

    en.wikipedia.org/wiki/Dependent_and_independent...

    [6] [7] It is possible to have multiple independent variables or multiple dependent variables. For instance, in multivariable calculus, one often encounters functions of the form z = f(x,y), where z is a dependent variable and x and y are independent variables. [8] Functions with multiple outputs are often referred to as vector-valued functions.

  9. Factor analysis - Wikipedia

    en.wikipedia.org/wiki/Factor_analysis

    When interpreting, by one rule of thumb in confirmatory factor analysis, factor loadings should be .7 or higher to confirm that independent variables identified a priori are represented by a particular factor, on the rationale that the .7 level corresponds to about half of the variance in the indicator being explained by the factor. However ...