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If I have a correlation matrix showing the correlations between a number of variables and the standard deviations of the variables aren't available/known, I ain't able to (/ I can't) use the covariance matrix to analyze the data. Which results (estimates, standard errors, t-values and chi-squares) would be different if I had used a covariance matrix instead of a correlation matrix? Matrix covariance correlation link|improve this question asked Apr 18 '11 at 12:48Lisrel11.
I cant really gove you an answer,but what I can give you is a way to a solution, that is you have to find the anglde that you relate to or peaks your interest. A good paper is one that people get drawn into because it reaches them ln some way.As for me WW11 to me, I think of the holocaust and the effect it had on the survivors, their families and those who stood by and did nothing until it was too late.