Model for estimating Financial Results at Company Level by using Simple Linear Regression

Journal Title: Revista Romana de Statistica - Year 2016, Vol 64, Issue 1

Abstract

The econometric model means a lot of numerical relations that enables simplified representation of the economic process subject to study. Current models often involves more than ten relations (equations). The validity of a model is tested by comparing the results with statistical observations. In order to study an economic phenomena, he is represented through a variable behavior. This economic variable depends on other variables of which is linked through mathematical relationships. The regression analysis is a statistical technique based on the identification of two variables and is used to relate variables.

Authors and Affiliations

Andreea-Gabriela BALTAC, Zoica DINCA (NICOLA)

Keywords

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  • EP ID EP95978
  • DOI -
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How To Cite

Andreea-Gabriela BALTAC, Zoica DINCA (NICOLA) (2016). Model for estimating Financial Results at Company Level by using Simple Linear Regression. Revista Romana de Statistica, 64(1), 70-76. https://europub.co.uk/articles/-A-95978