OECD Non-Financial Corporations Debt to Surplus Ratio Analysis 3 - Calculating Confidence Interval in R, Parametric and Monte Carlo.

UnsplashのHeather Wildeが撮影した写真 www.crosshyou.info This post is following of the above post. In this post, I will show some statistics of our data. Before investigation, I make data frame to wide format with pivot_wider() function. With above data frame, df_wide, let's check some basic statis…