{"version":"1.0","provider_name":"V\u00edctor A. Rico \u2014 Econometr\u00eda y Finanzas Cuantitativas","provider_url":"https:\/\/ricovictor.com","author_name":"Victor A.Rico","author_url":"https:\/\/ricovictor.com\/index.php\/author\/admin\/","title":"Multicolinealidad en R. \u00bfC\u00f3mo detectarla? - V\u00edctor A. Rico \u2014 Econometr\u00eda y Finanzas Cuantitativas","type":"rich","width":600,"height":338,"html":"<blockquote class=\"wp-embedded-content\" data-secret=\"8IdJzhEdez\"><a href=\"https:\/\/ricovictor.com\/index.php\/2020\/06\/10\/multicolinealidad-en-r-como-detectarla\/\">Multicolinealidad en R. \u00bfC\u00f3mo detectarla?<\/a><\/blockquote><iframe sandbox=\"allow-scripts\" security=\"restricted\" src=\"https:\/\/ricovictor.com\/index.php\/2020\/06\/10\/multicolinealidad-en-r-como-detectarla\/embed\/#?secret=8IdJzhEdez\" width=\"600\" height=\"338\" title=\"\u00abMulticolinealidad en R. \u00bfC\u00f3mo detectarla?\u00bb \u2014 V\u00edctor A. Rico \u2014 Econometr\u00eda y Finanzas Cuantitativas\" data-secret=\"8IdJzhEdez\" frameborder=\"0\" marginwidth=\"0\" marginheight=\"0\" scrolling=\"no\" class=\"wp-embedded-content\"><\/iframe><script>\n\/*! This file is auto-generated *\/\n!function(d,l){\"use strict\";l.querySelector&&d.addEventListener&&\"undefined\"!=typeof URL&&(d.wp=d.wp||{},d.wp.receiveEmbedMessage||(d.wp.receiveEmbedMessage=function(e){var t=e.data;if((t||t.secret||t.message||t.value)&&!\/[^a-zA-Z0-9]\/.test(t.secret)){for(var s,r,n,a=l.querySelectorAll('iframe[data-secret=\"'+t.secret+'\"]'),o=l.querySelectorAll('blockquote[data-secret=\"'+t.secret+'\"]'),c=new RegExp(\"^https?:$\",\"i\"),i=0;i<o.length;i++)o[i].style.display=\"none\";for(i=0;i<a.length;i++)s=a[i],e.source===s.contentWindow&&(s.removeAttribute(\"style\"),\"height\"===t.message?(1e3<(r=parseInt(t.value,10))?r=1e3:~~r<200&&(r=200),s.height=r):\"link\"===t.message&&(r=new URL(s.getAttribute(\"src\")),n=new URL(t.value),c.test(n.protocol))&&n.host===r.host&&l.activeElement===s&&(d.top.location.href=t.value))}},d.addEventListener(\"message\",d.wp.receiveEmbedMessage,!1),l.addEventListener(\"DOMContentLoaded\",function(){for(var e,t,s=l.querySelectorAll(\"iframe.wp-embedded-content\"),r=0;r<s.length;r++)(t=(e=s[r]).getAttribute(\"data-secret\"))||(t=Math.random().toString(36).substring(2,12),e.src+=\"#?secret=\"+t,e.setAttribute(\"data-secret\",t)),e.contentWindow.postMessage({message:\"ready\",secret:t},\"*\")},!1)))}(window,document);\n<\/script>\n","thumbnail_url":"https:\/\/ricovictor.com\/wp-content\/uploads\/2020\/06\/fractal-2090592_640.jpg","thumbnail_width":640,"thumbnail_height":359,"description":"\ud83d\udc8e La multicolinealidad se da cuando, entre las variables del modelo que estamos desarrollando hay una alta correlaci\u00f3n. Quiero recalcar que la correlaci\u00f3n debe ser muy alta ya que es muy normal,sobre todo en variables financieras que exista alg\u00fan tipo de relaci\u00f3n en sus movimientos. Adem\u00e1s, cuando creamos modelos econom\u00e9tricos la existencia de multicolinealidad en &hellip;  Leer m\u00e1s &raquo;"}