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Estimation of a regression model on two or more sets of differently grouped data

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Publication:751155
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DOI10.1016/0304-4076(91)90099-YzbMath0714.62106OpenAlexW2011542596MaRDI QIDQ751155

Michio Hatanaka, Mototsugu Fukushige

Publication date: 1991

Published in: Journal of Econometrics (Search for Journal in Brave)

Full work available at URL: https://doi.org/10.1016/0304-4076(91)90099-y


zbMATH Keywords

contingency tablecross-classified dataGoodman's correlation modelvague, outside information


Mathematics Subject Classification ID

Applications of statistics to economics (62P20) Linear regression; mixed models (62J05) Bayesian inference (62F15) Contingency tables (62H17)




Cites Work

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  • Fluctuations in a dynamic, intermediate-run IS-LM model: Applications of the Poincaré-Bendixson theorem
  • A Nonlinear Dynamic Model of Short Run Fluctuations
  • Existence of Limit Cycles and Control in Complete Keynesian System by Theory of Bifurcations
  • Relative Prices, Say's Law, and the Demand for Money




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