Gå direkte til innholdet
Linear Models and the Relevant Distributions and Matrix Algebra
Spar

Linear Models and the Relevant Distributions and Matrix Algebra

Linear Models and the Relevant Distributions and Matrix Algebra provides in-depth and detailed coverage of the use of linear statistical models as a basis for parametric and predictive inference. It can be a valuable reference, a primary or secondary text in a graduate-level course on linear models, or a resource used (in a course on mathematical statistics) to illustrate various theoretical concepts in the context of a relatively complex setting of great practical importance.

Features:

  • Provides coverage of matrix algebra that is extensive and relatively self-contained and does so in a meaningful context
  • Provides thorough coverage of the relevant statistical distributions, including spherically and elliptically symmetric distributions
  • Includes extensive coverage of multiple-comparison procedures (and of simultaneous confidence intervals), including procedures for controlling the k-FWER and the FDR
  • Provides thorough coverage (complete with detailed and highly accessible proofs) of results on the properties of various linear-model procedures, including those of least squares estimators and those of the F test.
  • Features the use of real data sets for illustrative purposes
  • Includes many exercises
ISBN
9781138578333
Språk
Engelsk
Vekt
1200 gram
Utgivelsesdato
13.3.2018
Forlag
CRC Press
Antall sider
524