2014•RePEc: Research Papers in EconomicsRequires access

The Analysis of Interdependent Series by Correlation Method

Angelica Carbunaru-Bacescu, Monica Condruz–Băcescu

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Abstract

By the correlation method we can measure the degree of interdependence between two or more variables. Qualitative analysis, on the basis of knowing the type of variables, could explain the existence of a common cause that influence both of them. As such, we propose to consider briefly the problem of multiple correlation between a dependent variable and two or more independent variables.

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By the correlation method we can measure the degree of interdependence between two or more variables. Qualitative analysis, on the basis of knowing the type of variables, could explain the existence of a common cause that influence both of them. As such, we propose to consider briefly the problem of multiple correlation between a dependent variable and two or more independent variables.

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Available abstract

By the correlation method we can measure the degree of interdependence between two or more variables. Qualitative analysis, on the basis of knowing the type of variables, could explain the existence of a common cause that influence both of them. As such, we propose to consider briefly the problem of multiple correlation between a dependent variable and two or more independent variables.

Key concepts: Series (stratigraphy), Measure (data warehouse), Econometrics, Correlation, Interdependence, Variable (mathematics), Mathematics, Variables

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