Author: Adam Sanoé Booij
Publisher: Rozenberg Publishers
ISBN: 9036101190
Category :
Languages : en
Pages : 174
Book Description
Essays on the measurements sensitivity of risk aversion and causal effects in education
Author: Adam Sanoé Booij
Publisher: Rozenberg Publishers
ISBN: 9036101190
Category :
Languages : en
Pages : 174
Book Description
Publisher: Rozenberg Publishers
ISBN: 9036101190
Category :
Languages : en
Pages : 174
Book Description
Efficient simulation algorithms for optimization of discrete event systems based on measure-valued differentation
Author: Taoying Farenhorst-Yuan
Publisher: Rozenberg Publishers
ISBN: 905170660X
Category :
Languages : en
Pages : 198
Book Description
Publisher: Rozenberg Publishers
ISBN: 905170660X
Category :
Languages : en
Pages : 198
Book Description
The influence of sellers and the intermediary on buyers' trust in C2C electronic marketplaces
Author: Selmar Meents
Publisher: Rozenberg Publishers
ISBN: 9036101239
Category :
Languages : en
Pages : 314
Book Description
Publisher: Rozenberg Publishers
ISBN: 9036101239
Category :
Languages : en
Pages : 314
Book Description
Three essays on real estate finance
Author: Xiaolong Liu
Publisher: Rozenberg Publishers
ISBN: 9036101999
Category :
Languages : en
Pages : 132
Book Description
Publisher: Rozenberg Publishers
ISBN: 9036101999
Category :
Languages : en
Pages : 132
Book Description
Essays on Top Management and Corporate Behavior
Author: Hui-Ting Wu
Publisher: Rozenberg Publishers
ISBN: 9036101913
Category :
Languages : en
Pages : 196
Book Description
Publisher: Rozenberg Publishers
ISBN: 9036101913
Category :
Languages : en
Pages : 196
Book Description
Essays on finite mixture models
Author: Abram van Dijk
Publisher: Rozenberg Publishers
ISBN: 9036101344
Category :
Languages : en
Pages : 138
Book Description
Finite mixture distributions are a weighted average of a finite number of distributions. The latter are usually called the mixture components. The weights are usually described by a multinomial distribution and are sometimes called mixing proportions. The mixture components may be the same type of distributions with di®erent parameter values but they may also be completely different distributions. Therefore, finite mixture distributions are very °exible for modeling data. They are frequently used as a building block within many modern econometric models. The specification of the mixture distribution depends on the modeling problem at hand. In this thesis, we introduce new applications of finite mixtures to deal with several di®erent modeling issues. Each chapter of the thesis focusses on a specific modeling issue. The parameters of some of the resulting models can be estimated using standard techniques but for some of the chapters we need to develop new estimation and inference methods. To illustrate how the methods can be applied, we analyze at least one empirical data set for each approach. These data sets cover a wide range of research fields, such as macroeconomics, marketing, and political science. We show the usefulness of the methods and, in some cases, the improvement over previous methods in the literature.
Publisher: Rozenberg Publishers
ISBN: 9036101344
Category :
Languages : en
Pages : 138
Book Description
Finite mixture distributions are a weighted average of a finite number of distributions. The latter are usually called the mixture components. The weights are usually described by a multinomial distribution and are sometimes called mixing proportions. The mixture components may be the same type of distributions with di®erent parameter values but they may also be completely different distributions. Therefore, finite mixture distributions are very °exible for modeling data. They are frequently used as a building block within many modern econometric models. The specification of the mixture distribution depends on the modeling problem at hand. In this thesis, we introduce new applications of finite mixtures to deal with several di®erent modeling issues. Each chapter of the thesis focusses on a specific modeling issue. The parameters of some of the resulting models can be estimated using standard techniques but for some of the chapters we need to develop new estimation and inference methods. To illustrate how the methods can be applied, we analyze at least one empirical data set for each approach. These data sets cover a wide range of research fields, such as macroeconomics, marketing, and political science. We show the usefulness of the methods and, in some cases, the improvement over previous methods in the literature.
Three essays on empirical finance
Author: Tse-Chun Lin
Publisher: Rozenberg Publishers
ISBN: 9036101514
Category :
Languages : en
Pages : 146
Book Description
Publisher: Rozenberg Publishers
ISBN: 9036101514
Category :
Languages : en
Pages : 146
Book Description
Dynamic Delay Management at Railways. Semi-Markovian Decision Approach
Author: Assil Al- Ibrahim
Publisher: Rozenberg Publishers
ISBN: 9036101743
Category :
Languages : en
Pages : 253
Book Description
Publisher: Rozenberg Publishers
ISBN: 9036101743
Category :
Languages : en
Pages : 253
Book Description
Four essays on applied microeconometrics
Author: Marta Isabel López Yurda
Publisher: Rozenberg Publishers
ISBN: 9036101220
Category :
Languages : en
Pages : 171
Book Description
Publisher: Rozenberg Publishers
ISBN: 9036101220
Category :
Languages : en
Pages : 171
Book Description
Understanding Socioeconomic Differences in Health. An Economic Approach
Author:
Publisher: Rozenberg Publishers
ISBN: 9036101751
Category :
Languages : en
Pages : 226
Book Description
Publisher: Rozenberg Publishers
ISBN: 9036101751
Category :
Languages : en
Pages : 226
Book Description