Another method is the canonical correlation analysis, which is a maximization of the correlation between a similar pair of scores. [u:4b820]But interpreting the coefficients of canonical variates requires the usual stringent assumptions underlying multiple regression of either canonical variate upon the variables of the other block. [/u:4b820]作者: shiyiming 时间: 2006-5-2 04:10 标题: try 另一种方法是系列相关分析, 就是在相似的对应得分之间中最大的交互作用。但解释多变量系数, 是以其他变量矩阵所产生的多变量的多元回归为前提, 需要一般严格的假设.