Dear all,
I need your help.
I have a sample of 300 firms and I have the financial statements of these firms for the period 2011-2022 (approximately 2.000 obs). My sample is unbalanced.
I have a model like the following:
financial_distresst= a +b1 incomet + b2 leveraget+ b3 sizet +et
If I wanted to run OLS (as panel data) then I would regress the model above.
What I want to do is to forecast If the independed variables income, leverage, size (for the years 2011-2019) can predict the value of the dependent for the year 2020.
I think that I need to used time-series, is that correct?
Please, can somebody tell me if I can use these variables to forecast the value of the dependent variable?
I am so confused with this matter.
Thank you in advance
Kind regards,
Kleon
I need your help.
I have a sample of 300 firms and I have the financial statements of these firms for the period 2011-2022 (approximately 2.000 obs). My sample is unbalanced.
I have a model like the following:
financial_distresst= a +b1 incomet + b2 leveraget+ b3 sizet +et
If I wanted to run OLS (as panel data) then I would regress the model above.
What I want to do is to forecast If the independed variables income, leverage, size (for the years 2011-2019) can predict the value of the dependent for the year 2020.
I think that I need to used time-series, is that correct?
Please, can somebody tell me if I can use these variables to forecast the value of the dependent variable?
I am so confused with this matter.
Thank you in advance
Kind regards,
Kleon
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