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Valls, N. — Chulià, H. (2011): Volatility Transmission and Correlation Analysis between the US and Asia: The Impact of the Global Financial Crisis. SSRN Working Paper , No.1740446, http://papers.ssrn.com/sol3/papers.cfm?abstract_id=1740446

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Results 4.1 Correlation analysis In the first step, we consider all variables, and we perform correlation analysis (Spearman's correlation coefficient), which describes multiple relations ( Fig. 3

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growth of the sample countries holding other explanatory variables of GNI per capita constant. For the analysis, we used descriptive statistics, correlation analysis, and regression analysis. The descriptive statistics were used to describe the

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. The assessment of knowledge related to climate by age group (%) Source: authors. The results of the correlation analysis show that there is a weak

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.84 In columns 4 and 5 the absolute figures were converted into ranking, which allow us to compare the differences between the main messages of the two underlying data series. The Spearman correlation analysis confirms the readers’ first visual inspection

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the effects of monetary policy in China: VAR/VECM approach . China Economic Review 21 ( 1 ): 65 – 97 . 10.1016/j.chieco.2009.11.002 Syllignakis , M. N. – Kouretas , G. P. ( 2011 ): Dynamic Correlation Analysis of Financial Contagion: Evidence

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