dynamic sequential model - translation to ρωσικά
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dynamic sequential model - translation to ρωσικά

STATISTICAL METHOD
Dynamic panel model; Panel regression; Panel model

dynamic sequential model      
динамическая модель, характеризующая состояние экономики в последовательные периоды времени
dynamic model         
  • To analyse something with a typical "black box approach", only the behavior of the stimulus/response will be accounted for, to infer the (unknown) ''box''. The usual representation of this ''black box system'' is a [[data flow diagram]] centered in the box.
  • The [[state diagram]] for <math>M</math>
DESCRIPTION OF A SYSTEM USING MATHEMATICAL CONCEPTS AND LANGUAGE
Mathematical modeling; Dynamic model; Mathematical models in physics; Mathematical models; Mathematical modelling; Modelization; Math model; Mathematical analogue; Modelled mathematically; Mathematical Modeling; Reason Theory; A priori information; Complexity of mathematical models; Deductive model

общая лексика

динамическая модель

deductive model         
  • To analyse something with a typical "black box approach", only the behavior of the stimulus/response will be accounted for, to infer the (unknown) ''box''. The usual representation of this ''black box system'' is a [[data flow diagram]] centered in the box.
  • The [[state diagram]] for <math>M</math>
DESCRIPTION OF A SYSTEM USING MATHEMATICAL CONCEPTS AND LANGUAGE
Mathematical modeling; Dynamic model; Mathematical models in physics; Mathematical models; Mathematical modelling; Modelization; Math model; Mathematical analogue; Modelled mathematically; Mathematical Modeling; Reason Theory; A priori information; Complexity of mathematical models; Deductive model

математика

дедуктивная модель

Ορισμός

dynamic analysis
<programming> Evaluation of a program based on its execution. Dynamic analysis relies on executing a piece of software with selected test data. (1996-05-13)

Βικιπαίδεια

Panel analysis

Panel (data) analysis is a statistical method, widely used in social science, epidemiology, and econometrics to analyze two-dimensional (typically cross sectional and longitudinal) panel data. The data are usually collected over time and over the same individuals and then a regression is run over these two dimensions. Multidimensional analysis is an econometric method in which data are collected over more than two dimensions (typically, time, individuals, and some third dimension).

A common panel data regression model looks like y i t = a + b x i t + ε i t {\displaystyle y_{it}=a+bx_{it}+\varepsilon _{it}} , where y {\displaystyle y} is the dependent variable, x {\displaystyle x} is the independent variable, a {\displaystyle a} and b {\displaystyle b} are coefficients, i {\displaystyle i} and t {\displaystyle t} are indices for individuals and time. The error ε i t {\displaystyle \varepsilon _{it}} is very important in this analysis. Assumptions about the error term determine whether we speak of fixed effects or random effects. In a fixed effects model, ε i t {\displaystyle \varepsilon _{it}} is assumed to vary non-stochastically over i {\displaystyle i} or t {\displaystyle t} making the fixed effects model analogous to a dummy variable model in one dimension. In a random effects model, ε i t {\displaystyle \varepsilon _{it}} is assumed to vary stochastically over i {\displaystyle i} or t {\displaystyle t} requiring special treatment of the error variance matrix.

Panel data analysis has three more-or-less independent approaches:

  • independently pooled panels;
  • random effects models;
  • fixed effects models or first differenced models.

The selection between these methods depends upon the objective of the analysis, and the problems concerning the exogeneity of the explanatory variables.

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