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Ch11 Curve Fitting II.

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Presentation on theme: "Ch11 Curve Fitting II."— Presentation transcript:

1 Ch11 Curve Fitting II

2 Outline Checking the adequacy of the model Correlation
Multiple linear regression (Matrix notation)

3 11.5 Checking the adequacy of the model
For the multiple regression, we can use the fitted equation to make inferences. Residuals: A plot of the residual versus the predicted values is a major diagnostic tool

4 11.6 Correlation Correlation analysis: it is assumed that the data points are values a of pair of random variables whose joint density is given by f(x, y). The best interpretation of the sample correlation is in terms of the standardized observation.

5 The sample correlation coefficient r
r is the sum of products of the standardized variables divided by n-1. r=+1 if all pairs lie exactly on a straight line having a positive slope. r>0, if the pattern in the scattergram runs from lower left to upper right. R<0, if the pattern in the scattergram runs from upper left to lower right. R=-1 if all pair lie exactly on a straight line having a negative slope.

6 EX PP 376~377. Students solve it and plot the graph.

7 Correlation and regression
Alternatively, Proof.

8 Inference about the correlation coefficient
Covariance: the measure of association between X and Y, is called population correlation coefficient. When (rho) = 1, or -1, we say that there is a perfect linear correlation between the two random variables. When it is 0, there is no correlation between the two random variables.

9 Test about rho Assume that the joint distribution of X and Y is the bivariate normal distribution. Fisher Z transformation:

10 Test Statistic for inferences about rho
is a random variable approximately the standard normal distribution

11 11.7 Multiple Linear regression
In Matrix Notation Hence

12 Proof.

13 EX P365, P388.

14 EX Use the matrix relations to fit a straight line to the data x y


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