The complete sample, January 1950 to December 2017. Correlation = -0.159596558 The subsample, January 1950 to December 1969. Correlation = -0.262086255 The subsample, January 1970 to December 2017. Correlation = -0.142338644 required, interprete the meaning of the results and if the null hypothesis was that the colerration is 0 would that be true?
The complete sample, January 1950 to December 2017. Correlation = -0.159596558 The subsample, January 1950 to December 1969. Correlation = -0.262086255 The subsample, January 1970 to December 2017. Correlation = -0.142338644 required, interprete the meaning of the results and if the null hypothesis was that the colerration is 0 would that be true?
MATLAB: An Introduction with Applications
6th Edition
ISBN:9781119256830
Author:Amos Gilat
Publisher:Amos Gilat
Chapter1: Starting With Matlab
Section: Chapter Questions
Problem 1P
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Question
Below are the results for the three periods between the USA Stock and the USA Treasuary Bills.
- The complete sample, January 1950 to December 2017.
- The subsample, January 1950 to December 1969.
Correlation = -0.262086255
- The subsample, January 1970 to December 2017.
Correlation = -0.142338644
required, interprete the meaning of the results and if the null hypothesis was that the colerration is 0 would that be true?
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