
Multivariate Statistics
Proceedings of the 6th Tartu Conference, Tartu, Estonia, 19-22 August 1999
De Gruyter (Publisher)
1st Edition
Published on 1. January 2000
Book
Hardback
VIII, 223 pages
978-3-11-062817-3 (ISBN)
Description
No detailed description available for "Multivariate Statistics".
More details
Series
Edition
Reprint 2011
Language
English
Place of publication
Berlin/Boston
Germany
Target group
Professional and scholarly
US School Grade: College Graduate Student
Illustrations
Num. figs.
Num. figs.
Dimensions
Height: 236 mm
Width: 160 mm
Thickness: 19 mm
Weight
507 gr
ISBN-13
978-3-11-062817-3 (9783110628173)
Schweitzer Classification
Other editions
Additional editions

T. Kollo | E.-M. Tiit | M. Srivastava
Multivariate Statistics
Proceedings of the 6th Tartu Conference, Tartu, Estonia, 19-22 August 1999
E-Book
09/2011
1st Edition
De Gruyter
€179.95
Available for download

Book
11/2000
1st Edition
VSP International Science Publishers
€169.95
Article exhausted; check different version

T. Kollo | E.-M. Tiit | M. Srivastava
Multivariate Statistics
Proceedings of the 6th Tartu Conference, Tartu, Estonia, 19-22 August 1999
Book
01/2000
1st Edition
De Gruyter
€259.00
Article exhausted; check different version
Content
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 LAEUTER'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