Jarque-Bera Test and Its Competitors for Testing Normality

Jarque-Bera Test and Its Competitors for Testing Normality PDF Author: Thorsten Thadewald
Publisher:
ISBN: 9783935058780
Category :
Languages : en
Pages : 22

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Book Description

Jarque-Bera Test and Its Competitors for Testing Normality

Jarque-Bera Test and Its Competitors for Testing Normality PDF Author: Thorsten Thadewald
Publisher:
ISBN: 9783935058780
Category :
Languages : en
Pages : 22

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Book Description


Comprehensive Chemometrics

Comprehensive Chemometrics PDF Author:
Publisher: Elsevier
ISBN: 044452701X
Category : Science
Languages : en
Pages : 2880

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Book Description
Designed to serve as the first point of reference on the subject, Comprehensive Chemometrics presents an integrated summary of the present state of chemical and biochemical data analysis and manipulation. The work covers all major areas ranging from statistics to data acquisition, analysis, and applications. This major reference work provides broad-ranging, validated summaries of the major topics in chemometrics—with chapter introductions and advanced reviews for each area. The level of material is appropriate for graduate students as well as active researchers seeking a ready reference on obtaining and analyzing scientific data. Features the contributions of leading experts from 21 countries, under the guidance of the Editors-in-Chief and a team of specialist Section Editors: L. Buydens; D. Coomans; P. Van Espen; A. De Juan; J.H. Kalivas; B.K. Lavine; R. Leardi; R. Phan-Tan-Luu; L.A. Sarabia; and J. Trygg Examines the merits and limitations of each technique through practical examples and extensive visuals: 368 tables and more than 1,300 illustrations (750 in full color) Integrates coverage of chemical and biological methods, allowing readers to consider and test a range of techniques Consists of 2,200 pages and more than 90 review articles, making it the most comprehensive work of its kind Offers print and online purchase options, the latter of which delivers flexibility, accessibility, and usability through the search tools and other productivity-enhancing features of ScienceDirect

Analysis of Multivariate Data with SPSS

Analysis of Multivariate Data with SPSS PDF Author: Jutta Arrenberg
Publisher: BoD – Books on Demand
ISBN: 3751989714
Category : Mathematics
Languages : en
Pages : 258

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Book Description
The book introduces the most important statistical methods for analyzing multivariate data sets. After reading the book, the reader (female, male) is able to autonomously carry out comprehensive statistical analyzes of data. The steps for finding a solution with SPSS are shown in the book. The individual procedures are explained using easy-to-understand examples to ensure learning success. Previous knowledge of statistics is helpful for reading the book, but not essential. The procedures presented are plausible even without prior basic knowledge of statistics. This book was written over a period of twenty semesters and benefited from the questions raised by the listeners in my lecture.

Recent Advances in the Analysis of Competition Policy and Regulation

Recent Advances in the Analysis of Competition Policy and Regulation PDF Author: Joseph E. Harrington
Publisher: Edward Elgar Publishing
ISBN: 1781005699
Category : Business & Economics
Languages : en
Pages : 401

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Book Description
'This volume collects a number of original, cutting-edge contributions that take the reader swiftly and easily to the frontier of research on most of the current hot topics in industrial organization, antitrust and regulation. Skillfully edited by two outstanding leaders in the field, the volume will be a precious source for students, researchers and practitioners that need to figure out what research has achieved in recent years on these important policy issues.' Giancarlo Spagnolo, SITE Stockholm School of Economics and University of Tor Vergata, Sweden This state-of-the-art volume highlights important recent research contributions covering all the significant themes surrounding competition policy and regulation, including financial regulation and multisided markets. Bringing scholars and policymakers to the frontiers of research and addressing the critical issues of the day, the book presents original important new theoretical and empirical results. The distinguished contributors include: P. Agrel, K. Alexander, J. Crémer, X. Dassiou, G. Deltas, F. Etro, L. Filistrucchi, P. Fotis, M. Gilli, J. Harrington Jr, T. Huertas, M. Ivaldi, B. Jullien, V. Marques, M. Peitz, Y. Spiegel, E. Tarrantino and G. Wood. Recent Advances in the Analysis of Competition Policy and Regulation will prove insightful for academic economists, consultants and policymakers interested in these fields.

Mechanical Measurements

Mechanical Measurements PDF Author: S.P. Venkateshan
Publisher: Springer Nature
ISBN: 3030736202
Category : Technology & Engineering
Languages : en
Pages : 570

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Book Description
p="" This book focuses both on the basics and more complex topics in mechanical measurements such as measurement errors & statistical analysis of data, regression analysis, heat flux, measurement of pressure, and radiation properties of surfaces. End of chapter problems, solved illustrations, and exercise problems are presented throughout the book to augment learning. It is a useful reference for students in both undergraduate and postgraduate programs. ^

Indices as Benchmarks in the Portfolio Management

Indices as Benchmarks in the Portfolio Management PDF Author: Andreas Schyra
Publisher: Springer Science & Business Media
ISBN: 365800696X
Category : Business & Economics
Languages : en
Pages : 246

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Book Description
​Based on a very extensive literature review the book delineates the previous scientific and practical applications of indices as benchmarks for single asset classes as stocks, commodities, German governmental bonds and cash as well as especially for multi asset portfolios. According to the specific influencing factors of the Eurozone a recommendation of allocating equity portfolios with respect to industrial or regional factors is given by an empirical analysis. As most common and significant benchmark index for the Eurozone, the Dow Jones Euro STOXX 50 is analysed according to index effects. This serves as comparison and consideration of the active anticipations of index membership exchanges and a simple index investment during short- and long-term periods. Furthermore a correlation weighted equity index, established by different TMI industry indices of the Eurozone is calculated, which serves as benefit for diversification opportunities of two multidimensionally diversified and systamatically allocated multi asset portfolios. These portfolios are composed with reference towards the Portfolio Selection Theory by Harry M. Markowitz to test its practical relevance and validity during the challenging years from 2001 and 2010.

Repeated Measures Design for Empirical Researchers

Repeated Measures Design for Empirical Researchers PDF Author: J. P. Verma
Publisher: John Wiley & Sons
ISBN: 1119052696
Category : Science
Languages : en
Pages : 288

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Book Description
Introduces the applications of repeated measures design processes with the popular IBM® SPSS® software Repeated Measures Design for Empirical Researchers presents comprehensive coverage of the formation of research questions and the analysis of repeated measures using IBM SPSS and also includes the solutions necessary for understanding situations where the designs can be used. In addition to explaining the computation involved in each design, the book presents a unique discussion on how to conceptualize research problems as well as identify appropriate repeated measures designs for research purposes. Featuring practical examples from a multitude of domains including psychology, the social sciences, management, and sports science, the book helps readers better understand the associated theories and methodologies of repeated measures design processes. The book covers various fundamental concepts involved in the design of experiments, basic statistical designs, computational details, differentiating independent and repeated measures designs, and testing assumptions. Along with an introduction to IBM SPSS software, Repeated Measures Design for Empirical Researchers includes: A discussion of the popular repeated measures designs frequently used by researchers, such as one-way repeated measures ANOVA, two-way repeated measures design, two-way mixed design, and mixed design with two-way MANOVA Coverage of sample size determination for the successful implementation of designing and analyzing a repeated measures study A step-by-step guide to analyzing the data obtained with real-world examples throughout to illustrate the underlying advantages and assumptions A companion website with supplementary IBM SPSS data sets and programming solutions as well as additional case studies Repeated Measures Design for Empirical Researchers is a useful textbook for graduate- and PhD-level students majoring in biostatistics, the social sciences, psychology, medicine, management, sports, physical education, and health. The book is also an excellent reference for professionals interested in experimental designs and statistical sciences as well as statistical consultants and practitioners from other fields including biological, medical, agricultural, and horticultural sciences. J. P. Verma, PhD, is Professor of Statistics and Director of the Center for Advanced Studies at Lakshmibai National Institute of Physical Education, India. Professor Verma is an active researcher in sports modeling and data analysis and has conducted many workshops on research methodology, research designs, multivariate analysis, statistical modeling, and data analysis for students of management, physical education, social science, and economics. He is the author of Statistics for Exercise Science and Health with Microsoft® Office Excel®, also published by Wiley.

Continuous Bivariate Distributions

Continuous Bivariate Distributions PDF Author: N. Balakrishnan
Publisher: Springer Science & Business Media
ISBN: 0387096140
Category : Mathematics
Languages : en
Pages : 714

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Book Description
Along with a review of general developments relating to bivariate distributions, this volume also covers copulas, a subject which has grown immensely in recent years. In addition, it examines conditionally specified distributions and skewed distributions.

Biomedical Devices and Sensors

Biomedical Devices and Sensors PDF Author: Jérôme Molimard
Publisher: John Wiley & Sons
ISBN: 1786309467
Category : Technology & Engineering
Languages : en
Pages : 228

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Book Description
Monitoring the human body is a key element of digital health science. Low-cost sensors derived from smartphones or smartwatches may give the impression that sensors are readily available; however, to date, very few of them are actually medical devices. Designing medical devices requires us to undertake a specific approach demanding special skills, as it concerns the integrity of the human body. The process is tightly framed by state regulations in order to ensure compliance with quality assessment, risk management and medical ethics requirements. This book aims to give biomedical students an overview on medical devices design. It firstly gives a historical and economical approach, then develops key elements in medical device design with reference to EU and US regulations, and finally describes sensors for the human body. The clinical approach is presented as the central element in medical device qualification and this offers a perspective on the use of numerical simulation, particularly since its continued growth in the USA; despite the fact that the approach is strictly limited by regulations.

Statistics and Data Analysis for Financial Engineering

Statistics and Data Analysis for Financial Engineering PDF Author: David Ruppert
Publisher: Springer
ISBN: 1493926144
Category : Business & Economics
Languages : en
Pages : 736

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Book Description
The new edition of this influential textbook, geared towards graduate or advanced undergraduate students, teaches the statistics necessary for financial engineering. In doing so, it illustrates concepts using financial markets and economic data, R Labs with real-data exercises, and graphical and analytic methods for modeling and diagnosing modeling errors. These methods are critical because financial engineers now have access to enormous quantities of data. To make use of this data, the powerful methods in this book for working with quantitative information, particularly about volatility and risks, are essential. Strengths of this fully-revised edition include major additions to the R code and the advanced topics covered. Individual chapters cover, among other topics, multivariate distributions, copulas, Bayesian computations, risk management, and cointegration. Suggested prerequisites are basic knowledge of statistics and probability, matrices and linear algebra, and calculus. There is an appendix on probability, statistics and linear algebra. Practicing financial engineers will also find this book of interest.