ANOVA in Finance Meaning
The ANOVA meaning in Finance terms is "Analysis of Variances". There are 2 related meanings of the ANOVA Finance abbreviation.
ANOVA on Finance Full Forms
- Analysis of Variances
- Analysis of Variance A technique which subdivides the total variation of a set of data into meaningful component parts associated with specific sources of variation for the purpose of testing some hypothesis on the parameters of the model or estimating variance components.
Frequently Asked Questions (FAQ)
What does ANOVA stand for Finance?
ANOVA stands for Analysis of Variance in Finance terms.
What is the shortened form of Analysis of Variance in Finance?
The short form of "Analysis of Variance" is ANOVA for Finance.
Citation
ANOVA in Finance. Acronym24.com. (2021, September 19). Retrieved December 23, 2024 from https://acronym24.com/anova-meaning-in-finance/
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