Model for Indicators

#1
Dear Fellows,

I would like to represent this function for my analysis in SPSS. Could you please help me create a model for the following:

If (([fairness] and [financial] is low) AND [control] is high)
[vulnerability] increase.

I would like to use fairness, financial and control as indicators for vulnerability (not necessarily a IV-DV relationship)

Thanks for your help.
 

hlsmith

Less is more. Stay pure. Stay poor.
#2
Well controlling for usually means just throwing them in the model too but just calling them covariates. Given this you can run a typical regression model and see if those propose relationship hold out.

Let us know if you need more information or if I am missing some thing.