中南林业科技大学学院:经济学院专业:金融实验一实验目的:掌握一元线性回归模型的估计方法。实验要求:选择方程进行一元线性回归。实验原理:普通最小二乘法(OLS)1GDP1为解释变量,LB为应变量(1)散点图(2)一元线性回归DependentVariable:LBMethod:LeastSquaresDate:06/08/13Time:16:39Sample(adjusted):19781995Includedobservations:--------(F-statistic)(3)估计方程******@ALLFLB=*GDP1-,zj为应变量(1)散点图(2)一元线性回归DependentVariable:ZJMethod:LeastSquaresDate:06/08/13Time:16:42Sample(adjusted):19781995Includedobservations:--------(F-statistic)(3)估计方程******@ALLFZJ=*GDP1-,yy为应变量(1)散点图(2)一元线性回归DependentVariable:YYMethod:LeastSquaresDate:06/08/13Time:16:43Sample(adjusted):19781995Includedobservations:--------(F-statistic)(3)估计方程******@ALLFYY=*GDP1-,cs为应变量(1)散点图(2)一元线性回归DependentVariable:CSMethod:LeastSquaresDate:06/08/13Time:16:44Sample
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