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Sudarshan Kumar Patel 1320 
Koushik Kanti Das 1309
Introduction 
Method 
Application
Multivariate analysis (MVA) is based on the statistical principle of multivariate 
statistics, which involves observation and analysis of more than one statistical 
outcome variable at a time. 
Components- 
 The Variate 
 Measurement scales 
 Measurement error and multivariate measurement. 
 Statistical significance Vs Statistical power 
Variate value = w1x1 + w2x2 + ...+ wnxn 
x1 ,x2 ,..xn = Observed variable 
w1 , w2 ,.. wn = Weight 
The variables are specified by the researcher. 
The weights are determined by the multivariate technique.
Cross correlations: - An important exploratory tool for modeling multivariate time 
series is the cross correlation function (CCF). The CCF generalizes the ACF to the 
multivariate case. Thus, its main purpose is to find linear dynamic relationships in 
time series data that have been generated from stationary processes. 
Single-equation models: - Two types of so-called single-equation models can be 
considered for multivariate forecasting: regression models and transfer-function 
models. 
Vector auto regressions and VARMA models 
Cointegration: - Although VAR modeling traditionally assumes stationary of all 
series, it is not generally recommended to difference non-stationary components 
individually, as such a step may destroy important dynamic information.
• Generalization of the univariate normal 
• Determined by the mean (vector) and covariance matrix 
• E.g. Standard bivariate normal 
Example – Crime Rates by State 
Obs State Murder Rape Robbery Assault Burglary Larceny Auto_Theft 
1 Alabama 14.2 25.2 96.8 278.3 1135.5 1881.9 280.7 
2 Alaska 10.8 51.6 96.8 284.0 1331.7 3369.8 753.3 
3 Arizona 9.5 34.2 138.2 312.3 2346.1 4467.4 439.5 
4 Arkansas 8.8 27.6 83.2 203.4 972.6 1862.1 183.4 
5 California 11.5 49.4 287.0 358.0 2139.4 3499.8 663.5 
… … ... ... ... ... ... ... ... 
Crime Rates per 100,000 Populations by State
Simple Statistics 
Murder Rape Robbery Assault Burglary Larceny 
Auto 
Theft 
Mean 7.444000000 25.73400000 124.0920000 211.3000000 1291.904000 2671.288000 
377.526 
0000 
SD 3.866768941 10.75962995 88.3485672 100.2530492 432.455711 725.908707 
193.394 
4175 
Observations 50 
Variables 7 
The PRINCOMP Procedure
Application 
 Consumer and market research 
 Quality control and quality assurance across a range of industries such as food and 
beverage, paint, pharmaceuticals, chemicals, energy, telecommunications, etc 
 Process optimization and process control 
 Research and development
 The simple linear regression MODEL is: 
 y = β0 + β1x +ε 
 describes how y is related to x 
 β0 and β1 are called parameters of the model. 
 ε is a random variable called the error term. 
 Graph of the regression equation is a straight line. 
 β0 is the population y-intercept of the regression line. 
 β1 is the population slope of the regression line. 
 E(y) is the expected value of y for a given x value
Regression 
Models 
Linear 
Non- 
Linear 
2+ Explanatory 
Variables 
Simple 
Non- 
Linear 
Multiple 
Linear 
1 Explanatory 
Variable
There are several variables that affect crop production. These variables may be 
static or dynamic. The static variables include soil properties; seed variety etc. 
and the dynamic variables include temperature, rainfall, humidity, sunshine 
hours, technology, demand etc. 
The graph above shows the production trend of chana and pulses which depends on the above 
mentioned factors.
Multivariate analysis

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Multivariate analysis

  • 1. Sudarshan Kumar Patel 1320 Koushik Kanti Das 1309
  • 3. Multivariate analysis (MVA) is based on the statistical principle of multivariate statistics, which involves observation and analysis of more than one statistical outcome variable at a time. Components-  The Variate  Measurement scales  Measurement error and multivariate measurement.  Statistical significance Vs Statistical power Variate value = w1x1 + w2x2 + ...+ wnxn x1 ,x2 ,..xn = Observed variable w1 , w2 ,.. wn = Weight The variables are specified by the researcher. The weights are determined by the multivariate technique.
  • 4. Cross correlations: - An important exploratory tool for modeling multivariate time series is the cross correlation function (CCF). The CCF generalizes the ACF to the multivariate case. Thus, its main purpose is to find linear dynamic relationships in time series data that have been generated from stationary processes. Single-equation models: - Two types of so-called single-equation models can be considered for multivariate forecasting: regression models and transfer-function models. Vector auto regressions and VARMA models Cointegration: - Although VAR modeling traditionally assumes stationary of all series, it is not generally recommended to difference non-stationary components individually, as such a step may destroy important dynamic information.
  • 5. • Generalization of the univariate normal • Determined by the mean (vector) and covariance matrix • E.g. Standard bivariate normal Example – Crime Rates by State Obs State Murder Rape Robbery Assault Burglary Larceny Auto_Theft 1 Alabama 14.2 25.2 96.8 278.3 1135.5 1881.9 280.7 2 Alaska 10.8 51.6 96.8 284.0 1331.7 3369.8 753.3 3 Arizona 9.5 34.2 138.2 312.3 2346.1 4467.4 439.5 4 Arkansas 8.8 27.6 83.2 203.4 972.6 1862.1 183.4 5 California 11.5 49.4 287.0 358.0 2139.4 3499.8 663.5 … … ... ... ... ... ... ... ... Crime Rates per 100,000 Populations by State
  • 6. Simple Statistics Murder Rape Robbery Assault Burglary Larceny Auto Theft Mean 7.444000000 25.73400000 124.0920000 211.3000000 1291.904000 2671.288000 377.526 0000 SD 3.866768941 10.75962995 88.3485672 100.2530492 432.455711 725.908707 193.394 4175 Observations 50 Variables 7 The PRINCOMP Procedure
  • 7. Application  Consumer and market research  Quality control and quality assurance across a range of industries such as food and beverage, paint, pharmaceuticals, chemicals, energy, telecommunications, etc  Process optimization and process control  Research and development
  • 8.  The simple linear regression MODEL is:  y = β0 + β1x +ε  describes how y is related to x  β0 and β1 are called parameters of the model.  ε is a random variable called the error term.  Graph of the regression equation is a straight line.  β0 is the population y-intercept of the regression line.  β1 is the population slope of the regression line.  E(y) is the expected value of y for a given x value
  • 9. Regression Models Linear Non- Linear 2+ Explanatory Variables Simple Non- Linear Multiple Linear 1 Explanatory Variable
  • 10. There are several variables that affect crop production. These variables may be static or dynamic. The static variables include soil properties; seed variety etc. and the dynamic variables include temperature, rainfall, humidity, sunshine hours, technology, demand etc. The graph above shows the production trend of chana and pulses which depends on the above mentioned factors.