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DC Field | Value | Language |
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dc.contributor.author | Somsak Chanaim | en_US |
dc.contributor.author | Songsak Sriboonchitta | en_US |
dc.contributor.author | Chongkolnee Rungruang | en_US |
dc.date.accessioned | 2018-09-05T02:58:17Z | - |
dc.date.available | 2018-09-05T02:58:17Z | - |
dc.date.issued | 2016-01-01 | en_US |
dc.identifier.issn | 16113349 | en_US |
dc.identifier.issn | 03029743 | en_US |
dc.identifier.other | 2-s2.0-85006004233 | en_US |
dc.identifier.other | 10.1007/978-3-319-49046-5_40 | en_US |
dc.identifier.uri | https://www.scopus.com/inward/record.uri?partnerID=HzOxMe3b&scp=85006004233&origin=inward | en_US |
dc.identifier.uri | http://cmuir.cmu.ac.th/jspui/handle/6653943832/55594 | - |
dc.description.abstract | © Springer International Publishing AG 2016. This paper introduces a new approach to fitting a linear regression model to interval-valued data by relaxing an assumption about using the center of interval data. We use convex combination between lower and upper values of the interval data as a parameter with value between [0,1]. Thus, the center method becomes a special case of this method. For the real application we use Capital Asset Pricing model (CAPM) and Autoregressive model (AR(p)) with interval-valued data to show that this method can provide a better result than the center method based on the Akaike information criterion (AIC). | en_US |
dc.subject | Computer Science | en_US |
dc.subject | Mathematics | en_US |
dc.title | A convex combination method for linear regression with interval data | en_US |
dc.type | Book Series | en_US |
article.title.sourcetitle | Lecture Notes in Computer Science (including subseries Lecture Notes in Artificial Intelligence and Lecture Notes in Bioinformatics) | en_US |
article.volume | 9978 LNAI | en_US |
article.stream.affiliations | Chiang Mai University | en_US |
article.stream.affiliations | Prince of Songkla University | en_US |
Appears in Collections: | CMUL: Journal Articles |
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