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Interpretation of multiple regression analysis results

Hi guys,

I need some help with data interpretation for my dissertation. Can anybody help ?

first set of data:



SUMMARY OUTPUT
Regression Statistics
Multiple R0.973745851
R Square0.948180982
Adjusted R Square0.91363497
Standard Error13081.78749
Observations11
ANOVA
dfSSMSFSignificance F
Regression41.88E+104.7E+0927.44690.000534949
Residual61.03E+091.71E+08
Total101.98E+10
CoefficientsStandard Errort StatP-valueLower 95%Upper 95%
House price-1106768.112651086-1.699880.140063-2699918.236486382.013
GDP (£m)2.0798627951.006232.0669860.084238-0.3822928514.54201844
Income-14.7710157120.12389-0.7340.490623-64.0124056434.47037422
Interest Rates(%)-1434.2728294989.369-0.287470.783426-13642.8177910774.27213
Population0.1250282430.0977941.2784840.248304-0.1142654210.364321907



Second set of data:

SUMMARY OUTPUT
Regression Statistics
Multiple R0.854132974
R Square0.729543136
Adjusted R Square0.691804969
Standard Error295282.1834
Observations50
ANOVA
dfSSMSFSignificance F
Regression61.01E+131.69E+1219.331718.96868E-11
Residual433.75E+128.72E+10
Total491.39E+13
CoefficientsStandard Errort StatP-valueLower 95%Upper 95%
Intercept298329.57061031432.8923890.00597790321.98691506337.1543
X Variable 114556.6727100673.70.1445930.885708-188471.1858217584.5312
X Variable 2117970.1987143478.20.8222170.415489-171381.0868407321.4842
X Variable 3393977.6551130797.53.0121180.004334130199.2881657756.0221
X Variable 4445028.2454114036.53.9025060.00033215051.6604675004.8305
X Variable 5190137.0486162542.51.1697680.248537-137661.1883517935.2855
X Variable 6105651.5849111070.60.9512110.346813-118343.6237329646.7935



Any help would be much appreciated
(edited 10 years ago)
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Reply 2
Original post by ko100
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I don't think the data has been attached correctly.

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