The distribution of correlation coefficients of samples of size n taken from a k-dimensional normal population.
Data presenting two or more sets or related observations may arise in many fields of activity. It is often desirable to measure the relationship which occurs between these two or more statistical series. This relationship may be established and measured by means of correlation techniques. In many st...
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ndltd-LACETR-oai-collectionscanada.gc.ca-QMM.1137322014-02-13T04:09:45ZThe distribution of correlation coefficients of samples of size n taken from a k-dimensional normal population.Namini, Hassan.Mathematics.Data presenting two or more sets or related observations may arise in many fields of activity. It is often desirable to measure the relationship which occurs between these two or more statistical series. This relationship may be established and measured by means of correlation techniques. In many statistical problems the relationships among the variables are so complex that simple correlation gives a very incomplete and inadequate answer to the question. In some problems the variables are studied simultaneously in order to find out their interrelations; in others there is one particular variable of interest and the remaining variables are studied for their possible aid in throwing light on this particular one.McGill UniversityGuttman, I. (Supervisor)1962Electronic Thesis or Dissertationapplication/pdfenalephsysno: NNNNNNNNNTheses scanned by McGill Library.All items in eScholarship@McGill are protected by copyright with all rights reserved unless otherwise indicated.Master of Arts. (Department of Mathematics.) http://digitool.Library.McGill.CA:80/R/?func=dbin-jump-full&object_id=113732 |
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en |
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Mathematics. Namini, Hassan. The distribution of correlation coefficients of samples of size n taken from a k-dimensional normal population. |
description |
Data presenting two or more sets or related observations may arise in many fields of activity. It is often desirable to measure the relationship which occurs between these two or more statistical series. This relationship may be established and measured by means of correlation techniques. In many statistical problems the relationships among the variables are so complex that simple correlation gives a very incomplete and inadequate answer to the question. In some problems the variables are studied simultaneously in order to find out their interrelations; in others there is one particular variable of interest and the remaining variables are studied for their possible aid in throwing light on this particular one. |
author2 |
Guttman, I. (Supervisor) |
author_facet |
Guttman, I. (Supervisor) Namini, Hassan. |
author |
Namini, Hassan. |
author_sort |
Namini, Hassan. |
title |
The distribution of correlation coefficients of samples of size n taken from a k-dimensional normal population. |
title_short |
The distribution of correlation coefficients of samples of size n taken from a k-dimensional normal population. |
title_full |
The distribution of correlation coefficients of samples of size n taken from a k-dimensional normal population. |
title_fullStr |
The distribution of correlation coefficients of samples of size n taken from a k-dimensional normal population. |
title_full_unstemmed |
The distribution of correlation coefficients of samples of size n taken from a k-dimensional normal population. |
title_sort |
distribution of correlation coefficients of samples of size n taken from a k-dimensional normal population. |
publisher |
McGill University |
publishDate |
1962 |
url |
http://digitool.Library.McGill.CA:80/R/?func=dbin-jump-full&object_id=113732 |
work_keys_str_mv |
AT naminihassan thedistributionofcorrelationcoefficientsofsamplesofsizentakenfromakdimensionalnormalpopulation AT naminihassan distributionofcorrelationcoefficientsofsamplesofsizentakenfromakdimensionalnormalpopulation |
_version_ |
1716646456594530304 |