Bivariate Model for the Saber11 Tests in Tolima Department (Colombia)

In many applications, we find data that are restricted to belong to the interval (0;1), such as percentages and proportions, which also can be explained by other variables by means of a regression model in which the response variable has beta distribution. On the other hand, there are pairs of varia...

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Tipo de recurso:
Fecha de publicación:
2019
Institución:
Universidad Pedagógica y Tecnológica de Colombia
Repositorio:
RiUPTC: Repositorio Institucional UPTC
Idioma:
spa
OAI Identifier:
oai:repositorio.uptc.edu.co:001/15261
Acceso en línea:
https://revistas.uptc.edu.co/index.php/ciencia_en_desarrollo/article/view/8561
https://repositorio.uptc.edu.co/handle/001/15261
Palabra clave:
Modelos bivariados, funciones cópula, dependencia entre variables aleatorias
Bivariate models,
copula functions
dependence between random variables.
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License
http://purl.org/coar/access_right/c_abf2
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repository_id_str
spelling 2019-07-232024-07-08T14:23:56Z2024-07-08T14:23:56Zhttps://revistas.uptc.edu.co/index.php/ciencia_en_desarrollo/article/view/856110.19053/01217488.v10.n2.2019.8561https://repositorio.uptc.edu.co/handle/001/15261In many applications, we find data that are restricted to belong to the interval (0;1), such as percentages and proportions, which also can be explained by other variables by means of a regression model in which the response variable has beta distribution. On the other hand, there are pairs of variables that have some dependency, such as math and language performance in the state test Saber11 in Tolima Department (Colombia) in 2016. The theory of Copula functions arises as an alternative to measure the dependence of random variables with given marginal distributions, allowing to estimate different measures of association and to construct different methods of estimation. To analyze this type of data, we use a bivariate model under the context of copula functions for data in the interval (0;1). Properties of fitted models were verified, and different estimation methods, were compared using the copula and VineCopula packages of the R software in order to establish the best model for analyzing this type of data. Simulated data were used to carry out this process, and the models were applied to real data of performance in critical reading and mathematics of students between 14 and 24 years.En muchas aplicaciones encontramos datos que se restringen al intervalo (0;1), tales como porcentajes y proporciones, y que además pueden ser explicados por otras variables a través de un modelo de regresión en el que la variable respuesta está distribuida como una beta. Por otro lado, se encuentran pares de variables que tienen cierta dependencia como es el caso del rendimiento en matemáticas y lectura crítica dados en las pruebas saber11 en el departamento del Tolima (Colombia) 2016. La teoría de las funciones cópula surgen como una alternativa para medir la dependencia de variables aleatorias con distribuciones marginales dadas, permitiendo estimar diferentes medidas de asociación y diferentes métodos de estimación. En este artículo se usó un Modelo Bivariado bajo el contexto de las funciones Cópula para datos que están en el intervalo (0;1). Se verificaron las propiedades de los modelos ajustados y se compararon diferentes métodos de estimaciones usando el paquete Cópula y VineCopula del software R con el fin de establecer cuál es el mejor. Se usaron datos simulados para realizar este proceso y se aplicaron los modelos a datos reales de rendimiento en lectura crítica y matemáticas en estudiantes entre los 14 a 24 años.application/pdfspaspaUniversidad Pedagógica y Tecnológica de Colombiahttps://revistas.uptc.edu.co/index.php/ciencia_en_desarrollo/article/view/8561/8648Ciencia En Desarrollo; Vol. 10 No. 2 (2019): Vol 10, Núm. 2 (2019): Julio - Diciembre; 169-176Ciencia en Desarrollo; Vol. 10 Núm. 2 (2019): Vol 10, Núm. 2 (2019): Julio - Diciembre; 169-1762462-76580121-7488Modelos bivariados, funciones cópula, dependencia entre variables aleatoriasBivariate models,copula functionsdependence between random variables.Bivariate Model for the Saber11 Tests in Tolima Department (Colombia)Modelo Bivariado para las Pruebas Saber11 en el Departamento Del Tolima (Colombia)info:eu-repo/semantics/articletextEnglishhttp://purl.org/coar/version/c_970fb48d4fbd8a85http://purl.org/coar/resource_type/c_2df8fbb1http://purl.org/coar/access_right/c_abf2Garcia saavedra, Yuri MarcelaClavijo Mendez, Jairo AlfonsoLuugo Capera, Oscar Andres001/15261oai:repositorio.uptc.edu.co:001/152612025-07-18 10:56:40.361metadata.onlyhttps://repositorio.uptc.edu.coRepositorio Institucional UPTCrepositorio.uptc@uptc.edu.co
dc.title.en-US.fl_str_mv Bivariate Model for the Saber11 Tests in Tolima Department (Colombia)
dc.title.es-ES.fl_str_mv Modelo Bivariado para las Pruebas Saber11 en el Departamento Del Tolima (Colombia)
title Bivariate Model for the Saber11 Tests in Tolima Department (Colombia)
spellingShingle Bivariate Model for the Saber11 Tests in Tolima Department (Colombia)
Modelos bivariados, funciones cópula, dependencia entre variables aleatorias
Bivariate models,
copula functions
dependence between random variables.
title_short Bivariate Model for the Saber11 Tests in Tolima Department (Colombia)
title_full Bivariate Model for the Saber11 Tests in Tolima Department (Colombia)
title_fullStr Bivariate Model for the Saber11 Tests in Tolima Department (Colombia)
title_full_unstemmed Bivariate Model for the Saber11 Tests in Tolima Department (Colombia)
title_sort Bivariate Model for the Saber11 Tests in Tolima Department (Colombia)
dc.subject.es-ES.fl_str_mv Modelos bivariados, funciones cópula, dependencia entre variables aleatorias
topic Modelos bivariados, funciones cópula, dependencia entre variables aleatorias
Bivariate models,
copula functions
dependence between random variables.
dc.subject.en-US.fl_str_mv Bivariate models,
copula functions
dependence between random variables.
description In many applications, we find data that are restricted to belong to the interval (0;1), such as percentages and proportions, which also can be explained by other variables by means of a regression model in which the response variable has beta distribution. On the other hand, there are pairs of variables that have some dependency, such as math and language performance in the state test Saber11 in Tolima Department (Colombia) in 2016. The theory of Copula functions arises as an alternative to measure the dependence of random variables with given marginal distributions, allowing to estimate different measures of association and to construct different methods of estimation. To analyze this type of data, we use a bivariate model under the context of copula functions for data in the interval (0;1). Properties of fitted models were verified, and different estimation methods, were compared using the copula and VineCopula packages of the R software in order to establish the best model for analyzing this type of data. Simulated data were used to carry out this process, and the models were applied to real data of performance in critical reading and mathematics of students between 14 and 24 years.
publishDate 2019
dc.date.accessioned.none.fl_str_mv 2024-07-08T14:23:56Z
dc.date.available.none.fl_str_mv 2024-07-08T14:23:56Z
dc.date.none.fl_str_mv 2019-07-23
dc.type.none.fl_str_mv info:eu-repo/semantics/article
dc.type.en-US.fl_str_mv text
dc.type.es-ES.fl_str_mv English
dc.type.coarversion.fl_str_mv http://purl.org/coar/version/c_970fb48d4fbd8a85
dc.type.coar.fl_str_mv http://purl.org/coar/resource_type/c_2df8fbb1
dc.identifier.none.fl_str_mv https://revistas.uptc.edu.co/index.php/ciencia_en_desarrollo/article/view/8561
10.19053/01217488.v10.n2.2019.8561
dc.identifier.uri.none.fl_str_mv https://repositorio.uptc.edu.co/handle/001/15261
url https://revistas.uptc.edu.co/index.php/ciencia_en_desarrollo/article/view/8561
https://repositorio.uptc.edu.co/handle/001/15261
identifier_str_mv 10.19053/01217488.v10.n2.2019.8561
dc.language.none.fl_str_mv spa
dc.language.iso.none.fl_str_mv spa
language spa
dc.relation.none.fl_str_mv https://revistas.uptc.edu.co/index.php/ciencia_en_desarrollo/article/view/8561/8648
dc.rights.coar.fl_str_mv http://purl.org/coar/access_right/c_abf2
rights_invalid_str_mv http://purl.org/coar/access_right/c_abf2
dc.format.none.fl_str_mv application/pdf
dc.publisher.es-ES.fl_str_mv Universidad Pedagógica y Tecnológica de Colombia
dc.source.en-US.fl_str_mv Ciencia En Desarrollo; Vol. 10 No. 2 (2019): Vol 10, Núm. 2 (2019): Julio - Diciembre; 169-176
dc.source.es-ES.fl_str_mv Ciencia en Desarrollo; Vol. 10 Núm. 2 (2019): Vol 10, Núm. 2 (2019): Julio - Diciembre; 169-176
dc.source.none.fl_str_mv 2462-7658
0121-7488
institution Universidad Pedagógica y Tecnológica de Colombia
repository.name.fl_str_mv Repositorio Institucional UPTC
repository.mail.fl_str_mv repositorio.uptc@uptc.edu.co
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