O'Quigley J
Unité Santé Publique, l'Institut National de la Santé, Recherche Médicale (U 292), Centre Hospitalier de Bicêtre.
Rev Epidemiol Sante Publique. 1988;36(1):43-9.
A general approach for measuring correlation in non-normal populations is presented. Two ways of tackling the problem are considered. The first relies on an explicit parametric model and some non-elementary notions from probability theory. The second, which relies on a wide class of bivariate laws of which the bivariate normal one is a special case, is very simple to put into practice.
本文提出了一种用于测量非正态总体相关性的通用方法。考虑了两种解决该问题的方法。第一种方法依赖于一个明确的参数模型和概率论中的一些非基本概念。第二种方法依赖于一类广泛的二元分布律,其中二元正态分布律是一个特殊情况,这种方法在实践中非常容易实施。