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multivariate model

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  • Multivariate Model — A popular statistical tool that uses multiple variables to forecast possible investment outcomes. Multivariate models predict outcomes of situations that are affected by more than one variable, and are widely used in the financial world. Analysts …   Investment dictionary

  • Multivariate statistics — is a form of statistics encompassing the simultaneous observation and analysis of more than one statistical variable. The application of multivariate statistics is multivariate analysis. Methods of bivariate statistics, for example simple linear… …   Wikipedia

  • Multivariate analysis of variance — (MANOVA) is a generalized form of univariate analysis of variance (ANOVA). It is used when there are two or more dependent variables. It helps to answer : 1. do changes in the independent variable(s) have significant effects on the dependent …   Wikipedia

  • Multivariate stable distribution — multivariate stable Probability density function Heatmap showing a Multivariate (bivariate) stable distribution with α = 1.1 parameters: exponent shift/location vector …   Wikipedia

  • Model selection — is the task of selecting a statistical model from a set of candidate models, given data. In the simplest cases, a pre existing set of data is considered. However, the task can also involve the design of experiments such that the data collected is …   Wikipedia

  • Multivariate adaptive regression splines — (MARS) is a form of regression analysis introduced by Jerome Friedman in 1991.[1] It is a non parametric regression technique and can be seen as an extension of linear models that automatically models non linearities and interactions. The term… …   Wikipedia

  • Multivariate analysis — (MVA) is based on the statistical principle of multivariate statistics, which involves observation and analysis of more than one statistical variable at a time. In design and analysis, the technique is used to perform trade studies across… …   Wikipedia

  • Multivariate Polya distribution — The multivariate Pólya distribution, also called the Dirichlet compound multinomial distribution, is a compound probability distribution, where a probability vector p is drawn from a Dirichlet distribution with parameter vector alpha, and a set… …   Wikipedia

  • Model of Hierarchical Complexity — The model of hierarchical complexity is a framework for scoring how complex a behavior is. It quantifies the order of hierarchical complexity of a task based on mathematical principles of how the information is organized and of information… …   Wikipedia

  • Multivariate Pólya distribution — The multivariate Pólya distribution, named after George Pólya, also called the Dirichlet compound multinomial distribution, is a compound probability distribution, where a probability vector p is drawn from a Dirichlet distribution with parameter …   Wikipedia

  • Multivariate probit — In statistics and econometrics, the multivariate probit model is a generalization of the probit model used to estimate several correlated binary outcomes jointly. For example, if it is believed that the decisions of sending at least one child to… …   Wikipedia

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