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This is the aim of multiple factor analysis which balances the different issues (i.e. the different groups of variables) within a global analysis and provides, beyond the classical results of factorial analysis (mainly graphics of individuals and of categories), several results (indicators and graphics) specific of the group structure.
with y i denoting the i th response in the data set and x i the vector of explanatory variables, each set at the corresponding values found in the i th observation in the data set. If the model fit to the data were correct, the residuals would approximate the random errors that make the relationship between the explanatory variables and the ...
GAMLSS assumes the response variable follows an arbitrary parametric distribution, which might be heavy or light-tailed, and positively or negatively skewed. In addition, all the parameters of the distribution – location (e.g., mean), scale (e.g., variance) and shape (skewness and kurtosis) – can be modeled as linear, nonlinear or smooth ...
The independent or explanatory variable (say X) can be split up into classes or segments and linear regression can be performed per segment. Segmented regression with confidence analysis may yield the result that the dependent or response variable (say Y) behaves differently in the various segments. [3]
In the first example provided above, the sex of the patient would be a nuisance variable. For example, consider if the drug was a diet pill and the researchers wanted to test the effect of the diet pills on weight loss. The explanatory variable is the diet pill and the response variable is the amount of weight loss.
A regression analysis models the relationship between one or more independent variables and a dependent variable. Standard types of regression, such as ordinary least squares, have favourable properties if their underlying assumptions are true, but can give misleading results otherwise (i.e. are not robust to assumption violations). Robust ...
The design matrix has dimension n-by-p, where n is the number of samples observed, and p is the number of variables measured in all samples. [4] [5]In this representation different rows typically represent different repetitions of an experiment, while columns represent different types of data (say, the results from particular probes).
If the response data used to estimate the model contain values that change sign, or if the lowest response value is far from zero (for example, when data are left-truncated), a location parameter, L, may be added to the response so that the expressions for the quantile function and for the median become, respectively: