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I'm trying to perform correlation analysis with R's linear model

lm()

I'm wondering what is the reasonable minimum sample for it? Is there any rule for determining that?

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closed as off topic by joran, Anthon, thelatemail, mnel, neversaint Apr 19 '13 at 4:56

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This question belongs here: stats.stackexchange.com –  sashkello Apr 19 '13 at 3:04
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I think if you have two data columns or vectors with minimum two data points then the lm function should work. –  Jdbaba Apr 19 '13 at 3:06

1 Answer 1

up vote 6 down vote accepted

As a rule of thumb, 20, 30, 1000, samples As a rule of thumb, you should be wary of rules of thumb. Excluding perhaps that "less is more, except of course for sample size" (Cohen & Cohen, 1983: 169-171).

You could ask your question on http://stats.stackexchange.com/ but they're probably going to give you answers that might not be the round number that you're looking for. For example:

You'll get more useful responses if you edit your question here to include a reproducible example that resembles your actual use-case and then ask for help coding calculations of relevant measures of error. You might explore the pwr package before you edit your question (see here for examples: http://www.statmethods.net/stats/power.html).

Do a bit of googling to find the names of error measures you think will be useful to you. You might start with these:

Lenth, R. V. (2001), Some Practical Guidelines for Effective Sample Size Determination, The American Statistician, 55, 187-193.

Wheeler, R. E. (1974), 'Portable Power', Technometrics, 16, 193–201.

Cohen, J. & Cohen, P. (1983). Applied multiple regression/correlation analysis for the behavioral sciences (2nd ed.).(Hillsdale, NJ: Erlbaum)

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+1. Lucid answer. –  Ferdinand.kraft Apr 19 '13 at 4:42

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