Collect monthly data on any four different variables in finance. Countries will be
proposed by a module leader for each group individually.
(a) Plot the chosen variables for the period 2001-2022.
(b) Suggest a model (dependent and independent variables) using the chosen
variables.
(c) Estimate the regression model. Obtain the estimates of the parameters.
(d) Interpret the results.
Fig: 1
Fig: 2