Regression and correlation analyses.

D. Quicke, B. A. Butcher, R. K. Welton
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Abstract

Abstract This chapter focuses on regression and correlation analyses. Correlation and regression analyses are used to test whether, and to what degree, variation in one continuous variable is related to variation in another continuous variable. In correlation analysis, there are no control over either variable, they are just data collected, and indeed, even if two variables are strongly correlated, they may not be influencing one another but simply both being affected by a third which perhaps was not measured. The initial assumption of the analysis is that the values of both variables are drawn from a normal distribution. In regression analysis one of the variables are being controlled seeing whether changing its value affects the other. The variable being controlled is the explanatory variable (sometimes called the treatment) and the other is the response variable. As the explanatory variables are being controlled, they are probably going to be set at specified values or set increments and are therefore not normally distributed. There may be more than one explanatory variable. If all the explanatory variables are categorical then the regression is called an ANOVA.
回归和相关分析。
本章主要讨论回归和相关分析。相关分析和回归分析用于检验一个连续变量的变化是否与另一个连续变量的变化相关,以及在多大程度上相关。在相关分析中,对任何一个变量都没有控制,它们只是收集的数据,事实上,即使两个变量强烈相关,它们也可能不会相互影响,而只是受到第三个变量的影响,而第三个变量可能无法测量。分析的初始假设是两个变量的值都取自正态分布。在回归分析中,一个变量被控制,观察其值的改变是否会影响另一个变量。被控制的变量是解释变量(有时称为治疗),另一个是反应变量。由于解释变量是被控制的,它们可能会被设置为特定的值或固定的增量,因此不是正态分布的。解释变量可能不止一个。如果所有的解释变量都是分类的,那么回归被称为方差分析。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
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