My topic is on “The determinants of investors’ intention to invest in developing countries through foreign portfolio investment”.
I conducted a survey as follows:
Section A: 12 questions of 7 point-likert scale, 10 for my independent variables, 1 for dependent variable
Some of the independent variable questions:
1. A high level of accounting and auditing standards in the destination country is important in your consideration of conducting FPI in developing countries under the BRI
2. Great tnt to your consideration of conducting FPI in developing countries under the BRI
The dependent variable question:
1. Assuming you have access to portfolio investments in developing countries under the BRI, you intend to make such investments.
Section B: 5 demographic questions
3. Higest level of education
4. Nature of investment
5. Investment experience
To my knowledge, I should do multiple regression for first section. What next? Do I do one way anova for section B?
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