
Multivariate Extreme Value Theory and D-Norms
Michael Falk(Author)
Springer (Publisher)
Published in March 2019
Book
Hardback
X, 241 pages
978-3-030-03818-2 (ISBN)
Description
This monograph compiles the contemporary knowledge about D-norms and provides an introductory tour through the essentials of multivariate extreme value theory. Following a clear introduction of D-norms, this book introduces links with the theory through multivariate generalized Pareto distributions and max stable distributions. Further views on D-norms from a functional analysis perspective and from stochastic geometry underline the aim of this book to reveal mathematical structures. This book is intended for mathematicians with a basic knowledge of analysis and probability theory, including Fubini's theorem.
More details
Product info
Book
Series
Edition
2018
Language
English
Place of publication
Cham
Switzerland
Publishing group
Springer International Publishing
Target group
Professional and scholarly
Illustrations
5 s/w Abbildungen
5 schwarz-weiße Abbildungen, Bibliographie
Dimensions
Height: 241 mm
Width: 160 mm
Thickness: 20 mm
Weight
547 gr
ISBN-13
978-3-030-03818-2 (9783030038182)
DOI
10.1007/978-3-030-03819-9
Schweitzer Classification
Other editions
Additional editions

Michael Falk
Multivariate Extreme Value Theory and D-Norms
E-Book
02/2019
1st Edition
Springer
€117.69
Available for download
Content
1. ¿D-Norms.- 2. D-Norms & Multivariate Extremes.- 3. Copulas & Multivariate Extremes.- 4. An Introduction to Functional Extreme Value Theory.- 5. Further Applications of D-Norms to Probability & Statistics.