Corelaţia dintre valoarea Produsului Intern Brut al României şi cea a principalilor factori de influenţă
Journal Title: Revista Romana de Statistica - Year 2013, Vol 61, Issue 1
Abstract
In this paper, the authors analyze the main aspects regarding the use of the multiple regression model in the analysis of the Gross Domestic Product of Romania, during the period 1990 – 2010. In this context, there are used as explicative variables, the values of the final consumption, gross formation of capital, variation of inventories and net export. Following the research, we have revealed the fact that this kind of model is not only valid, but also indicated to be used in macroeconomic analyses, because the value of the free term (as image of the factors non-specified in the model) is a much reduced one than the values achieved through linear simple regression.
Authors and Affiliations
Cătălin DEATCU, Florin LILEA, Zoica NICOLA
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