摘要
介绍了回归直线法的由来,给出了相关性检验的两种方法:相关系数法和方差分析法,在此基础上,又给出了误差估计的3种简单方法:最大误差法、平均误差法和标准差法,使“回归直线法”在公司理财中的广泛应用,不仅具有可操作性,同时更具有可靠性.
This article introduces the origin of linear regression method and provides two means of error estimation: correlation coefficient and analysis of variance. On this basis, gives two simple means of error estimation: maximum error, average error and method of standard deviation, makes linear regression method that is widely used in company financial management has not only operability but also reliability.
出处
《辽宁大学学报(自然科学版)》
CAS
2004年第1期38-41,共4页
Journal of Liaoning University:Natural Sciences Edition