STATISTICAL ANALYSIS OF MONETARY POLICY INDICATORS variability

semanticscholar(2017)

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摘要
This paper attempts to characterize through statistical indicators of statistical data that we have available. The purpose of this paper is to present statistical indicators, primary and secondary, simple and synthetic, which is frequently used for statistical characterization of statistical series. We can thus analyze central tendency, and data variability, form and concentration distributions package data using analytical tools in Microsoft Excel that enables automatic calculation of descriptive statistics using Data Analysis option from the Tools menu. We will also study the links which exist between statistical variables can be studied using two techniques, correlation and regression. From the analysis of monetary policy in the period 2003 2014 and information provided by the website of the National Bank of Romania (BNR) seems to be a certain tendency towards eccentricity and asymmetry of financial data series.
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关键词
descriptive statistics,asymmetry,eccentricity,normal distribution,correlation,regression,Data Analysis
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