Multivariate Statistics
Proceedings of the 6th Tartu Conference, Tartu, Estonia, 19¿22 August 1999
Herausgegeben:Kollo, T.; Tiit, E.-M.; Srivastava, M.
Multivariate Statistics
Proceedings of the 6th Tartu Conference, Tartu, Estonia, 19¿22 August 1999
Herausgegeben:Kollo, T.; Tiit, E.-M.; Srivastava, M.
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Produktdetails
- Produktdetails
- New Trends in Probability and Statistics Vol. 5
- Verlag: De Gruyter
- 2000.
- Seitenzahl: 232
- Erscheinungstermin: 1. Januar 2000
- Englisch
- Abmessung: 236mm x 160mm x 19mm
- Gewicht: 503g
- ISBN-13: 9783110628173
- ISBN-10: 3110628171
- Artikelnr.: 55476520
- New Trends in Probability and Statistics Vol. 5
- Verlag: De Gruyter
- 2000.
- Seitenzahl: 232
- Erscheinungstermin: 1. Januar 2000
- Englisch
- Abmessung: 236mm x 160mm x 19mm
- Gewicht: 503g
- ISBN-13: 9783110628173
- ISBN-10: 3110628171
- Artikelnr.: 55476520
I-IV -- CONTENTS -- PREFACE -- ESTIMATION IN THE EXTENDED LINEAR MODEL -- DISCRETE OPTIMIZATION OF STATISTICAL SAMPLE SIZES IN SIMULATION BY USING THE HIERARCHICAL RESAMPLING METHOD -- KERNEL-TYPE ESTIMATION OF BIVARIATE DISTRIBUTION FUNCTION FOR ASSOCIATED RANDOM VARIABLES -- ON LOCAL DEPENDENCE FUNCTION FOR MULTIVARIATE DISTRIBUTIONS -- THE TUNING CONSTANT PROBLEM IN REGRESSION TYPE MODELS -- THE USEFULNESS OF UNIFORMITY IN EXPERIMENTAL DESIGN -- APPROXIMATION OF DISTRIBUTIONS BY SPHERE -- ECONOMETRIC MODELING OF THE LITHUANIAN ECONOMY -- NON-NULL DISTRIBUTION OF LÄUTER'S F-STATISTIC: A SIMULATION STUDY -- ZERO-BOUNDARY VORONOI PARTITIONS -- ON EXPECTED VALUES OF FOURTH-DEGREE MATRIX PRODUCTS OF ? MULTINORMAL MATRIX VARIATE -- A MULTIVARIATE BUCKLEY-JAMES ESTIMATOR -- A NEW ALGORITHM OF THE LINEAR DISCRIMINANT FUNCTION USING INTEGER PROGRAMMING -- ROBUSTIFICATION OF "APPROXIMATING APPROACH" IN SIMULTANEOUS EQUATIONS MODELS -- DATA COMPRESSION AND STATISTICAL INFERENCE -- ESTIMATION THE POVERTY LINE AS A PROBLEM OF MULTIVARIATE STATISTICS -- DEPENDENCE STRUCTURE OF A MULTIVARIATE DISTRIBUTION CHARACTERISED BY THE CORRELATION MATRIX -- APPROXIMATION OF MULTIVARIATE PROBABILITY FUNCTIONS BY EMPIRICAL MARGINAL DISTRIBUTIONS AND DEPENDENCE MEASURES -- SAMPLING DESIGN AS A MULTIVARIATE DISTRIBUTION -- CLASS OF SAMPLING DESIGNS WITH GIVEN MARGINALS -- A REMARK ON THE EXTENDED GROWTH CURVE MODEL
I-IV -- CONTENTS -- PREFACE -- ESTIMATION IN THE EXTENDED LINEAR MODEL -- DISCRETE OPTIMIZATION OF STATISTICAL SAMPLE SIZES IN SIMULATION BY USING THE HIERARCHICAL RESAMPLING METHOD -- KERNEL-TYPE ESTIMATION OF BIVARIATE DISTRIBUTION FUNCTION FOR ASSOCIATED RANDOM VARIABLES -- ON LOCAL DEPENDENCE FUNCTION FOR MULTIVARIATE DISTRIBUTIONS -- THE TUNING CONSTANT PROBLEM IN REGRESSION TYPE MODELS -- THE USEFULNESS OF UNIFORMITY IN EXPERIMENTAL DESIGN -- APPROXIMATION OF DISTRIBUTIONS BY SPHERE -- ECONOMETRIC MODELING OF THE LITHUANIAN ECONOMY -- NON-NULL DISTRIBUTION OF LÄUTER'S F-STATISTIC: A SIMULATION STUDY -- ZERO-BOUNDARY VORONOI PARTITIONS -- ON EXPECTED VALUES OF FOURTH-DEGREE MATRIX PRODUCTS OF ? MULTINORMAL MATRIX VARIATE -- A MULTIVARIATE BUCKLEY-JAMES ESTIMATOR -- A NEW ALGORITHM OF THE LINEAR DISCRIMINANT FUNCTION USING INTEGER PROGRAMMING -- ROBUSTIFICATION OF "APPROXIMATING APPROACH" IN SIMULTANEOUS EQUATIONS MODELS -- DATA COMPRESSION AND STATISTICAL INFERENCE -- ESTIMATION THE POVERTY LINE AS A PROBLEM OF MULTIVARIATE STATISTICS -- DEPENDENCE STRUCTURE OF A MULTIVARIATE DISTRIBUTION CHARACTERISED BY THE CORRELATION MATRIX -- APPROXIMATION OF MULTIVARIATE PROBABILITY FUNCTIONS BY EMPIRICAL MARGINAL DISTRIBUTIONS AND DEPENDENCE MEASURES -- SAMPLING DESIGN AS A MULTIVARIATE DISTRIBUTION -- CLASS OF SAMPLING DESIGNS WITH GIVEN MARGINALS -- A REMARK ON THE EXTENDED GROWTH CURVE MODEL