The following results are an autoregression for US Exports to Mexico where the dependent variable is the lagged value of US Exports. Based on these regression results, what is your forecast of US Exports to Mexico for March 2005?
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- Suppose the linear relationship between traffic violations and auto insurance premium has SSR of 2825 and SST of 3150. What percent of the insurance premium is unexplained by traffic violation?A researcher is studying the intensity of hurricanes that entered the Gulf of Mexico between 1975-2015 and the average water temperature of the Gulf of Mexico at the hurricane's peak strength. What is the independent and dependent variable in this study?) Is there evidence of a nonlinear relationship between birth weight andmother’s weight gain?
- Estimate MSE of variance for x and YAsset W has expected return of 11.6% and a beta of 1.23. If the risk free rate is 3.15%, complete the following table for portfolios of asset W, and a risk free asset. Illustrate the relationship between portfolio, expected return and portfolio beta by plotting the expected returns against the betas in a graph. What is the slope of the line that results? Results are in the table I just need the excel graph!!!! Percentage of portfolio asset in W. Portfolio expected return. Portfolio beta. 0% = (0 x 0.116) + (1 x 0.0315) = 3.15% 0 25% = (0.25 x 0.116) + (0.75 x 0.0315) = 5.26% = 1.23 x 0.25 = 0.3075 50% = (0.50 x 0.116) + (0.50 x 0.0315) = 7.37% = 1.23 x 0.50 = 0.615 75% = (0.75 x 0.116) + (0.25 x 0.0315) = 9.48% = 1.23 x 0.75 = 0.9225 100% = (1 x 0.116) + (0 x 0.0315) = 11.6% = 1.23 x 1 = 1.23 125% = (1.25 x 0.116) + (-0.25 x 0.0315) = 13.71% = 1.23 x 1.25 = 1.5375 150% = (1.50 x 0.116) + (-0.50 x 0.0315) = 15.82% = 1.23 x…A researcher takes a sample of 150 employees of a company, the average age of company’s employees is an example of a parameter. True O False The ordinal-level data are always quantitative in nature. True O False
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- The consumption function captures one of the key relationships in economics. It expresses consumption as a function of disposal income, where disposable income is income after taxes. The attached file "Regression-Dataset1" shows data of average US annual consumption (in $) and disposable income (in $) for the years 2000 to 2016. a)what is the Pearson correlation value between income and consumption? Select one: Ⓒa. 0.978 b. 0.109 c. None of the above d. 0.791The economic dynamism, which is the index of productive growth in dollars for countries that are designated by the World Bank as middle-income are in table #7.3.8 ("SOCR data 2008," 2013). Countries that are considered high-income have a mean economic dynamism of 60.29. Do the data show that the mean economic dynamism of middle-income countries is less than the mean for high-income countries? Test at the 5% level (Show the work) 25.8057 37.4511 51.915 43.6952 47.8506 43.7178 58.0767 41.1648 38.0793 37.7251 39.6553 42.0265 48.6159 43.8555 49.1361 61.9281 41.9543 44.9346 46.0521 48.3652 43.6252 50.9866 59.1724 39.6282 33.6074 21.6643The economic dynamism, which is the index of productive growth in dollars for countries that are designated by the World Bank as middle-income are in table #7.3.8 ("SOCR data 2008," 2013). Countries that are considered high-income have a mean economic dynamism of 60.29. Do the data show that the mean economic dynamism of middle-income countries is less than the mean for high-income countries? Test at the 5% level. Table #7.3.8: Economic Dynamism of Middle Income Countries 25.8057 37.4511 51.915 43.6952 47.8506 43.7178 58.0767 41.1648 38.0793 37.7251 39.6553 42.0265 48.6159 43.8555 49.1361 61.9281 41.9543 44.9346 46.0521 48.3652 43.6252 50.9866 59.1724 39.6282 33.6074 21.6643