Examples of using The correlation coefficient in English and their translations into Russian
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The correlation coefficient is R 0.9, i.e. is high enough.
The correlation coefficient between MID and chl-a has a characteristic banded structure.
If chosen parameters are mutually dependent then it is necessary to set the correlation coefficient between them.
In this case, the correlation coefficient with a shift in the past 17 years is significant K 0.5 P= 0.9.
Relationships oftaxation indicators characterize the correlation coefficient, which ranges r 0,832-0,996.
The correlation coefficients(r) ranged from highly positive(r 0.88) to slightly negative r -0.28.
The correlation coefficient declines and becomes negative as the index moves towards its pre-crisis peak level.
This is due to the alpha- effect influence,discussed above, as the correlation coefficient is close to 100.
At this age the correlation coefficients of the measurements with the indicators of slaughter lower and below 0.3-0.5.
In the case of the C4-CPHO model, the correlation coefficient obtained was 0.88 equivalent to an R-square of 77 per cent.
Estimates are calculated on the basis of the DTW-distance,the Minkowski metric with a parameter value of 3 and the correlation coefficient.
The correlation coefficient between the S&P 500 and the IFC Composite increased from 0.27 between 1995-1997 to 0.41 between 1990-1995.
Furthermore, for the monthly andseasonal periods, the correlation coefficient was higher, especially for the month where there was a higher amount of rainfall.
The correlation coefficient calculated for the two stocks on the basis of their incremental returns was 0.53, confirming that portfolio construction could reduce risks.
It is possible that low correlation of the Rouble and oil(now the correlation coefficient is 0.56) is stipulated by the political aspects apart from the purchases made by the international investors.
The correlation coefficients between the indicators of slaughter and measurements of steers during the other periods of ontogenesis are similar, the exceptions were measurements at 6 and 9 months.
And also in comparing the average index of similarity The index of similarity is defined in Kravis et al, op. cit., chap. 6, andis no more than the correlation coefficient of the expenditure structures for any pair of countries.
When the correlation coefficient is 0, it means that the two pairs move entirely different and the movement of one has no effect on the other.
Weighted correlation network analysis can be attractive for the following reasons:The network construction(based on soft thresholding the correlation coefficient) preserves the continuous nature of the underlying correlation information.
In order to ensure narrowing of the system response,we can use a signal for the window equal as to duration to the input pulse of the system under the condition that the correlation coefficient for the window with the duration equal to the realization, have exceeded level R=0.
Consumption and investment The correlation coefficients of household consumption with the real GDP in Kyrgyzstan, Kazakhstan and the Russian Federation are positive.
Using these formulas, it is possible to determine the mean square errors of a point simultaneously along any two mutually normal directions and the correlation coefficient between them, the eigenvalues of the covariance matrices,the number of conditionality of the matrix, its trace, determinant and cofactor.
As was expected, the correlation coefficient between yield and SPI index is a bit lower than for grains in Kazakhstan, which is understandable given different cultivation technologies.
Nobel laureate Paul Samuelson proved in 1942 that, in two dimensions,it is the only line expressible solely in terms of the ratios of standard deviations and the correlation coefficient which(1) fits the correct equation when the observations fall on a straight line,(2) exhibits scale invariance, and(3) exhibits invariance under interchange of variables.
The correlation coefficients(r) were derived in daily, monthly and seasonal periods to describe the performance of the GSMaP data with different temporal characteristics, for the period 2009-2011.
Furthermore, for the monthly andseasonal period the correlation coefficient was reasonably good especially for the months in which there is a higher amount of rainfall.