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Why this type of plot is used in analysing regression models
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- 2. Suppose that in Example 2.27, 400 units of food A, 500 units of B, and 600 units of C are placed in the test tube each day and the data on daily food consumption by the bacteria (in units per day) are as shown in Table 2.7. How many bacteria of each strain can coexist in the test tube and consume all of the food? Table 2.7 Bacteria Strain I Bacteria Strain II Bacteria Strain III Food A 1 2 0 Food B 2 1 3 Food C 1 1 1ch 11. 4 Oxnard Petro, Ltd., has three interdisciplinary project development teams that function on an ongoing basis. Team members rotate from time to time. Every 4 months (three times a year) each department head rates the performance of each project team (using a 0 to 100 scale, where 100 is the best rating). Are the main effects significant? Is there an interaction?In an instrumental variable regression model with one regressor, Xi, andone instrument, Zi, the regression of Xi onto Zi has R2 = 0.1 and n = 50.Is Zi a strong instrument? Would your answer change if R2 = 0.1 and n = 150?
- INV 2-3b Suppose that the index model for two Canadian stocks HD and ML is estimated with the following results: RHD =0.02+0.80RM+eHD R-squared =0.6 RML =-0.03+1.50RM+eML R-squared =0.4 σM =0.20 where M is S&P/TSX Comp Index and RX is the excess return of stock X. b. What is the systematic risk of each stock?Consider the population model dP/dt = 2P −P^250 for a species of fish in a lake. Suppose it isdecided that fishing will be allowed, but it is unclear how many fishing licenses should beissued. Suppose the average catch of a fisherman with a license is 3 fish per year (these arehard to catch fish). What is the largest number of licenses that can be issued if the fish areto have a chance to survive in the lake?Suppose your dependent variable is aggregate household demand for electricity for various cities. To correct for heteroskedasticity you should Select one: a. multiply observations by the square root of the city size b. multiply observations by the city size c. divide observations by the city size d. divide observations by the square root of the city size e. none of these
- x 5.7 4.1 6.2 4.4 6.5 5.8 4.9 y 1.9 4.8 0.8 3.9 1.2 1.7 3.0 (a) Computethecoefficientofdetermination. (b) Howmuchofthevariationintheoutcomevariableisexplainedbytheleast-squares regression line?INV 2-3c Suppose that the index model for two Canadian stocks HD and ML is estimated with the following results: RHD =0.02+0.80RM+eHD R-squared =0.6 RML =-0.03+1.50RM+eML R-squared =0.4 σM =0.20 where M is S&P/TSX Comp Index and RX is the excess return of stock X. c. What is the covariance and the correlation coefficient between HD and ML?INV 2-3d Suppose that the index model for two Canadian stocks HD and ML is estimated with the following results: RHD =0.02+0.80RM+eHD R-squared =0.6 RML =-0.03+1.50RM+eML R-squared =0.4 σM =0.20 where M is S&P/TSX Comp Index and RX is the excess return of stock X. d. For portfolio P with investment proportion of 0.3 in HD and 0.7 in ML, calculate the systematic risk, non-systematic risk, and total risk of P.
- Q3 Part (A) Where investment (I), government expenditure (G), and gross domestic product (Y) are measured in US$ billion and ̂u is the regression residualIs there any problem of Hetroscedasticity in above model? How do you know?1. Calculate Karl Pearson’s coefficient of skewness:Variable Frequency Variable Frequency70-80 11 30-40 2160-70 22 20-30 1150-60 30 10-20 640-50 35 0 -10 5Question 1 Provide an algebraic proof that the least squares estimator is not consistent when Cov(x,e)=0 with the regression model y =B1+B2E(x)+e where E(e)=0So that E(y) = B1 + B2E(x)