Relations among \(m\) sets of measures
From MaRDI portal
Publication:773959
DOI10.1007/BF02289710zbMath0099.35801OpenAlexW2063159792MaRDI QIDQ773959
Publication date: 1961
Published in: Psychometrika (Search for Journal in Brave)
Full work available at URL: https://doi.org/10.1007/bf02289710
Related Items
Riemannian Trust-Region Method for the Maximal Correlation Problem ⋮ A self-consistent-field iteration for MAXBET with an application to multi-view feature extraction ⋮ Kernel canonical correlation analysis for data combination of multiple-source datasets ⋮ Numerical methods for the Genvar criterion of multiple-sets canonical analysis ⋮ Regularized generalized canonical correlation analysis for multiblock or multigroup data analysis ⋮ Maximization of Matrix Trace Function of Product Stiefel Manifolds ⋮ A user-oriented overview of multiway methods and software ⋮ OVERALS: Nonlinear canonical correlation with \(k\) sets of variables ⋮ Homogeneity analysis with k sets of variables: An alternating least squares method with optimal scaling features ⋮ The max‐length‐vector line of best fit to a set of vector subspaces and an optimization problem over a set of hyperellipsoids ⋮ A new method for solving Pareto eigenvalue complementarity problems ⋮ Notes on factorial invariance ⋮ Measures of invariance and comparability in factor analysis for fixed variables ⋮ Kernel generalized canonical correlation analysis ⋮ Canonical correlation analyses for three data sets: A unified framework with application to management ⋮ Dimensionality reduction of bistable biological systems ⋮ Regularized generalized canonical correlation analysis: a framework for sequential multiblock component methods ⋮ The robust pole assignment problem for second-order systems ⋮ Iterative multi-channel coherence analysis with applications ⋮ Towards the global solution of the maximal correlation problem ⋮ On convergence of iterative methods for maximal correlation problems ⋮ A comparative evaluation of factor‐ and component‐based structural equation modelling approaches under (in)correct construct representations ⋮ On the convergence of the partial least squares path modeling algorithm ⋮ An alternating variable method for the maximal correlation problem ⋮ The Gifi system of descriptive multivariate analysis. ⋮ Picture of all solutions of successive 2-block maxbet problems ⋮ A principal axes method for comparing contingency tables: MFACT ⋮ A generalization of STATIS-ACT strategy: DO-ACT for two multiblocks tables ⋮ An alternative algorithm to the PLS B problem ⋮ Tensor maximal correlation problems ⋮ Variable selection and interpretation in canonical correlation analysis ⋮ Spectral analysis of coupled linear complementarity problems ⋮ Analyzing multiset data by the power STATIS-ACT method ⋮ PLS path modeling ⋮ Regularized generalized canonical correlation analysis ⋮ Global optimality of the successive Maxbet algorithm ⋮ A generalization of principal component analysis to \(K\) sets of variables. ⋮ Interpretation of canonical analysis: Rotated vs. unrotated solutions ⋮ Angle-based joint and individual variation explained ⋮ Learning multi-kernel multi-view canonical correlations for image recognition ⋮ Analysis of \(k\) sets of data, with differential emphasis on agreement between and within sets ⋮ Three common factor models for groups of variables ⋮ Orthogonal inter-battery factor analysis ⋮ A unified treatment of the weighting problem ⋮ A Structure-Exploiting Nested Lanczos-Type Iteration for the Multiview Canonical Correlation Analysis ⋮ Canonical analysis of longitudinal and repeated measures data with stationary weights ⋮ A SOR-like AVM for the maximal correlation problem ⋮ Generalized approaches to the Maxbet problem and the Maxdiff problem, with applications to canonical correlations
Cites Work