Author: K. Krishnamoorthy
Publisher: CRC Press
ISBN: 1498741509
Category : Mathematics
Languages : en
Pages : 423
Book Description
Easy-to-Use Reference and Software for Statistical Modeling and TestingHandbook of Statistical Distributions with Applications, Second Edition provides quick access to common and specialized probability distributions for modeling practical problems and performing statistical calculations. Along with many new examples and results, this edition inclu
Handbook of Statistical Distributions with Applications
Author: K. Krishnamoorthy
Publisher: CRC Press
ISBN: 1498741509
Category : Mathematics
Languages : en
Pages : 423
Book Description
Easy-to-Use Reference and Software for Statistical Modeling and TestingHandbook of Statistical Distributions with Applications, Second Edition provides quick access to common and specialized probability distributions for modeling practical problems and performing statistical calculations. Along with many new examples and results, this edition inclu
Publisher: CRC Press
ISBN: 1498741509
Category : Mathematics
Languages : en
Pages : 423
Book Description
Easy-to-Use Reference and Software for Statistical Modeling and TestingHandbook of Statistical Distributions with Applications, Second Edition provides quick access to common and specialized probability distributions for modeling practical problems and performing statistical calculations. Along with many new examples and results, this edition inclu
Handbook of Beta Distribution and Its Applications
Author: Arjun K. Gupta
Publisher: CRC Press
ISBN: 9780824753962
Category : Mathematics
Languages : en
Pages : 594
Book Description
A milestone in the published literature on the subject, this first-ever Handbook of Beta Distribution and Its Applications clearly enumerates the properties of beta distributions and related mathematical notions. It summarizes modern applications in a variety of fields, reviews up-and-coming progress from the front lines of statistical research and practice, and demonstrates the applicability of beta distributions in fields such as economics, quality control, soil science, and biomedicine. The book discusses the centrality of beta distributions in Bayesian inference, the beta-binomial model and applications of the beta-binomial distribution, and applications of Dirichlet integrals.
Publisher: CRC Press
ISBN: 9780824753962
Category : Mathematics
Languages : en
Pages : 594
Book Description
A milestone in the published literature on the subject, this first-ever Handbook of Beta Distribution and Its Applications clearly enumerates the properties of beta distributions and related mathematical notions. It summarizes modern applications in a variety of fields, reviews up-and-coming progress from the front lines of statistical research and practice, and demonstrates the applicability of beta distributions in fields such as economics, quality control, soil science, and biomedicine. The book discusses the centrality of beta distributions in Bayesian inference, the beta-binomial model and applications of the beta-binomial distribution, and applications of Dirichlet integrals.
Statistical Distributions
Author: Nick T. Thomopoulos
Publisher: Springer
ISBN: 3319651129
Category : Mathematics
Languages : en
Pages : 176
Book Description
This book gives a description of the group of statistical distributions that have ample application to studies in statistics and probability. Understanding statistical distributions is fundamental for researchers in almost all disciplines. The informed researcher will select the statistical distribution that best fits the data in the study at hand. Some of the distributions are well known to the general researcher and are in use in a wide variety of ways. Other useful distributions are less understood and are not in common use. The book describes when and how to apply each of the distributions in research studies, with a goal to identify the distribution that best applies to the study. The distributions are for continuous, discrete, and bivariate random variables. In most studies, the parameter values are not known a priori, and sample data is needed to estimate parameter values. In other scenarios, no sample data is available, and the researcher seeks some insight that allows the estimate of the parameter values to be gained. This handbook of statistical distributions provides a working knowledge of applying common and uncommon statistical distributions in research studies. These nineteen distributions are: continuous uniform, exponential, Erlang, gamma, beta, Weibull, normal, lognormal, left-truncated normal, right-truncated normal, triangular, discrete uniform, binomial, geometric, Pascal, Poisson, hyper-geometric, bivariate normal, and bivariate lognormal. Some are from continuous data and others are from discrete and bivariate data. This group of statistical distributions has ample application to studies in statistics and probability and practical use in real situations. Additionally, this book explains computing the cumulative probability of each distribution and estimating the parameter values either with sample data or without sample data. Examples are provided throughout to guide the reader. Accuracy in choosing and applying statistical distributions is particularly imperative for anyone who does statistical and probability analysis, including management scientists, market researchers, engineers, mathematicians, physicists, chemists, economists, social science researchers, and students in many disciplines.
Publisher: Springer
ISBN: 3319651129
Category : Mathematics
Languages : en
Pages : 176
Book Description
This book gives a description of the group of statistical distributions that have ample application to studies in statistics and probability. Understanding statistical distributions is fundamental for researchers in almost all disciplines. The informed researcher will select the statistical distribution that best fits the data in the study at hand. Some of the distributions are well known to the general researcher and are in use in a wide variety of ways. Other useful distributions are less understood and are not in common use. The book describes when and how to apply each of the distributions in research studies, with a goal to identify the distribution that best applies to the study. The distributions are for continuous, discrete, and bivariate random variables. In most studies, the parameter values are not known a priori, and sample data is needed to estimate parameter values. In other scenarios, no sample data is available, and the researcher seeks some insight that allows the estimate of the parameter values to be gained. This handbook of statistical distributions provides a working knowledge of applying common and uncommon statistical distributions in research studies. These nineteen distributions are: continuous uniform, exponential, Erlang, gamma, beta, Weibull, normal, lognormal, left-truncated normal, right-truncated normal, triangular, discrete uniform, binomial, geometric, Pascal, Poisson, hyper-geometric, bivariate normal, and bivariate lognormal. Some are from continuous data and others are from discrete and bivariate data. This group of statistical distributions has ample application to studies in statistics and probability and practical use in real situations. Additionally, this book explains computing the cumulative probability of each distribution and estimating the parameter values either with sample data or without sample data. Examples are provided throughout to guide the reader. Accuracy in choosing and applying statistical distributions is particularly imperative for anyone who does statistical and probability analysis, including management scientists, market researchers, engineers, mathematicians, physicists, chemists, economists, social science researchers, and students in many disciplines.
Statistical Distributions
Author: Catherine Forbes
Publisher: John Wiley & Sons
ISBN: 1118097823
Category : Mathematics
Languages : en
Pages : 206
Book Description
A new edition of the trusted guide on commonly used statistical distributions Fully updated to reflect the latest developments on the topic, Statistical Distributions, Fourth Edition continues to serve as an authoritative guide on the application of statistical methods to research across various disciplines. The book provides a concise presentation of popular statistical distributions along with the necessary knowledge for their successful use in data modeling and analysis. Following a basic introduction, forty popular distributions are outlined in individual chapters that are complete with related facts and formulas. Reflecting the latest changes and trends in statistical distribution theory, the Fourth Edition features: A new chapter on queuing formulas that discusses standard formulas that often arise from simple queuing systems Methods for extending independent modeling schemes to the dependent case, covering techniques for generating complex distributions from simple distributions New coverage of conditional probability, including conditional expectations and joint and marginal distributions Commonly used tables associated with the normal (Gaussian), student-t, F and chi-square distributions Additional reviewing methods for the estimation of unknown parameters, such as the method of percentiles, the method of moments, maximum likelihood inference, and Bayesian inference Statistical Distributions, Fourth Edition is an excellent supplement for upper-undergraduate and graduate level courses on the topic. It is also a valuable reference for researchers and practitioners in the fields of engineering, economics, operations research, and the social sciences who conduct statistical analyses.
Publisher: John Wiley & Sons
ISBN: 1118097823
Category : Mathematics
Languages : en
Pages : 206
Book Description
A new edition of the trusted guide on commonly used statistical distributions Fully updated to reflect the latest developments on the topic, Statistical Distributions, Fourth Edition continues to serve as an authoritative guide on the application of statistical methods to research across various disciplines. The book provides a concise presentation of popular statistical distributions along with the necessary knowledge for their successful use in data modeling and analysis. Following a basic introduction, forty popular distributions are outlined in individual chapters that are complete with related facts and formulas. Reflecting the latest changes and trends in statistical distribution theory, the Fourth Edition features: A new chapter on queuing formulas that discusses standard formulas that often arise from simple queuing systems Methods for extending independent modeling schemes to the dependent case, covering techniques for generating complex distributions from simple distributions New coverage of conditional probability, including conditional expectations and joint and marginal distributions Commonly used tables associated with the normal (Gaussian), student-t, F and chi-square distributions Additional reviewing methods for the estimation of unknown parameters, such as the method of percentiles, the method of moments, maximum likelihood inference, and Bayesian inference Statistical Distributions, Fourth Edition is an excellent supplement for upper-undergraduate and graduate level courses on the topic. It is also a valuable reference for researchers and practitioners in the fields of engineering, economics, operations research, and the social sciences who conduct statistical analyses.
Handbook of Fitting Statistical Distributions with R
Author: Zaven A. Karian
Publisher: Chapman and Hall/CRC
ISBN: 9781584887119
Category : Mathematics
Languages : en
Pages : 1718
Book Description
With the development of new fitting methods, their increased use in applications, and improved computer languages, the fitting of statistical distributions to data has come a long way since the introduction of the generalized lambda distribution (GLD) in 1969. Handbook of Fitting Statistical Distributions with R presents the latest and best methods, algorithms, and computations for fitting distributions to data. It also provides in-depth coverage of cutting-edge applications. The book begins with commentary by three GLD pioneers: John S. Ramberg, Bruce Schmeiser, and Pandu R. Tadikamalla. These leaders of the field give their perspectives on the development of the GLD. The book then covers GLD methodology and Johnson, kappa, and response modeling methodology fitting systems. It also describes recent additions to GLD and generalized bootstrap methods as well as a new approach to goodness-of-fit assessment. The final group of chapters explores real-world applications in agriculture, reliability estimation, hurricanes/typhoons/cyclones, hail storms, water systems, insurance and inventory management, and materials science. The applications in these chapters complement others in the book that deal with competitive bidding, medicine, biology, meteorology, bioassays, economics, quality management, engineering, control, and planning. New results in the field have generated a rich array of methods for practitioners. Making sense of this extensive growth, this comprehensive and authoritative handbook improves your understanding of the methodology and applications of fitting statistical distributions. The accompanying CD-ROM includes the R programs used for many of the computations.
Publisher: Chapman and Hall/CRC
ISBN: 9781584887119
Category : Mathematics
Languages : en
Pages : 1718
Book Description
With the development of new fitting methods, their increased use in applications, and improved computer languages, the fitting of statistical distributions to data has come a long way since the introduction of the generalized lambda distribution (GLD) in 1969. Handbook of Fitting Statistical Distributions with R presents the latest and best methods, algorithms, and computations for fitting distributions to data. It also provides in-depth coverage of cutting-edge applications. The book begins with commentary by three GLD pioneers: John S. Ramberg, Bruce Schmeiser, and Pandu R. Tadikamalla. These leaders of the field give their perspectives on the development of the GLD. The book then covers GLD methodology and Johnson, kappa, and response modeling methodology fitting systems. It also describes recent additions to GLD and generalized bootstrap methods as well as a new approach to goodness-of-fit assessment. The final group of chapters explores real-world applications in agriculture, reliability estimation, hurricanes/typhoons/cyclones, hail storms, water systems, insurance and inventory management, and materials science. The applications in these chapters complement others in the book that deal with competitive bidding, medicine, biology, meteorology, bioassays, economics, quality management, engineering, control, and planning. New results in the field have generated a rich array of methods for practitioners. Making sense of this extensive growth, this comprehensive and authoritative handbook improves your understanding of the methodology and applications of fitting statistical distributions. The accompanying CD-ROM includes the R programs used for many of the computations.
Handbook Of Heavy-tailed Distributions In Asset Management And Risk Management
Author: Michele Leonardo Bianchi
Publisher: World Scientific
ISBN: 9813276215
Category : Business & Economics
Languages : en
Pages : 598
Book Description
The study of heavy-tailed distributions allows researchers to represent phenomena that occasionally exhibit very large deviations from the mean. The dynamics underlying these phenomena is an interesting theoretical subject, but the study of their statistical properties is in itself a very useful endeavor from the point of view of managing assets and controlling risk. In this book, the authors are primarily concerned with the statistical properties of heavy-tailed distributions and with the processes that exhibit jumps. A detailed overview with a Matlab implementation of heavy-tailed models applied in asset management and risk managements is presented. The book is not intended as a theoretical treatise on probability or statistics, but as a tool to understand the main concepts regarding heavy-tailed random variables and processes as applied to real-world applications in finance. Accordingly, the authors review approaches and methodologies whose realization will be useful for developing new methods for forecasting of financial variables where extreme events are not treated as anomalies, but as intrinsic parts of the economic process.
Publisher: World Scientific
ISBN: 9813276215
Category : Business & Economics
Languages : en
Pages : 598
Book Description
The study of heavy-tailed distributions allows researchers to represent phenomena that occasionally exhibit very large deviations from the mean. The dynamics underlying these phenomena is an interesting theoretical subject, but the study of their statistical properties is in itself a very useful endeavor from the point of view of managing assets and controlling risk. In this book, the authors are primarily concerned with the statistical properties of heavy-tailed distributions and with the processes that exhibit jumps. A detailed overview with a Matlab implementation of heavy-tailed models applied in asset management and risk managements is presented. The book is not intended as a theoretical treatise on probability or statistics, but as a tool to understand the main concepts regarding heavy-tailed random variables and processes as applied to real-world applications in finance. Accordingly, the authors review approaches and methodologies whose realization will be useful for developing new methods for forecasting of financial variables where extreme events are not treated as anomalies, but as intrinsic parts of the economic process.
Handbook of Statistical Analysis and Data Mining Applications
Author: Ken Yale
Publisher: Elsevier
ISBN: 0124166458
Category : Mathematics
Languages : en
Pages : 824
Book Description
Handbook of Statistical Analysis and Data Mining Applications, Second Edition, is a comprehensive professional reference book that guides business analysts, scientists, engineers and researchers, both academic and industrial, through all stages of data analysis, model building and implementation. The handbook helps users discern technical and business problems, understand the strengths and weaknesses of modern data mining algorithms and employ the right statistical methods for practical application. This book is an ideal reference for users who want to address massive and complex datasets with novel statistical approaches and be able to objectively evaluate analyses and solutions. It has clear, intuitive explanations of the principles and tools for solving problems using modern analytic techniques and discusses their application to real problems in ways accessible and beneficial to practitioners across several areas—from science and engineering, to medicine, academia and commerce. - Includes input by practitioners for practitioners - Includes tutorials in numerous fields of study that provide step-by-step instruction on how to use supplied tools to build models - Contains practical advice from successful real-world implementations - Brings together, in a single resource, all the information a beginner needs to understand the tools and issues in data mining to build successful data mining solutions - Features clear, intuitive explanations of novel analytical tools and techniques, and their practical applications
Publisher: Elsevier
ISBN: 0124166458
Category : Mathematics
Languages : en
Pages : 824
Book Description
Handbook of Statistical Analysis and Data Mining Applications, Second Edition, is a comprehensive professional reference book that guides business analysts, scientists, engineers and researchers, both academic and industrial, through all stages of data analysis, model building and implementation. The handbook helps users discern technical and business problems, understand the strengths and weaknesses of modern data mining algorithms and employ the right statistical methods for practical application. This book is an ideal reference for users who want to address massive and complex datasets with novel statistical approaches and be able to objectively evaluate analyses and solutions. It has clear, intuitive explanations of the principles and tools for solving problems using modern analytic techniques and discusses their application to real problems in ways accessible and beneficial to practitioners across several areas—from science and engineering, to medicine, academia and commerce. - Includes input by practitioners for practitioners - Includes tutorials in numerous fields of study that provide step-by-step instruction on how to use supplied tools to build models - Contains practical advice from successful real-world implementations - Brings together, in a single resource, all the information a beginner needs to understand the tools and issues in data mining to build successful data mining solutions - Features clear, intuitive explanations of novel analytical tools and techniques, and their practical applications
The Weibull Distribution
Author: Horst Rinne
Publisher: CRC Press
ISBN: 1420087444
Category : Business & Economics
Languages : en
Pages : 812
Book Description
The Most Comprehensive Book on the SubjectChronicles the Development of the Weibull Distribution in Statistical Theory and Applied StatisticsExploring one of the most important distributions in statistics, The Weibull Distribution: A Handbook focuses on its origin, statistical properties, and related distributions. The book also presents various ap
Publisher: CRC Press
ISBN: 1420087444
Category : Business & Economics
Languages : en
Pages : 812
Book Description
The Most Comprehensive Book on the SubjectChronicles the Development of the Weibull Distribution in Statistical Theory and Applied StatisticsExploring one of the most important distributions in statistics, The Weibull Distribution: A Handbook focuses on its origin, statistical properties, and related distributions. The book also presents various ap
Handbook of the Normal Distribution
Author: Jagdish K. Patel
Publisher:
ISBN:
Category : Mathematics
Languages : en
Pages : 360
Book Description
A collection of results relating to the normal distribution, tracing the historical development of normal law and providing a compendium of properties. The revised edition introduces the most current estimation procedures for normally distributed samples for researchers and students in theoretical and applied statistics, including expanded treatments of: bivariate normal distribution, normal integrals, Mills' ratio, asymptotic normality, point estimation, and statistical intervals. Annotation copyright by Book News, Inc., Portland, OR
Publisher:
ISBN:
Category : Mathematics
Languages : en
Pages : 360
Book Description
A collection of results relating to the normal distribution, tracing the historical development of normal law and providing a compendium of properties. The revised edition introduces the most current estimation procedures for normally distributed samples for researchers and students in theoretical and applied statistics, including expanded treatments of: bivariate normal distribution, normal integrals, Mills' ratio, asymptotic normality, point estimation, and statistical intervals. Annotation copyright by Book News, Inc., Portland, OR
Handbook of Statistical Distributions with Applications
Author: K. Krishnamoorthy
Publisher: CRC Press
ISBN: 1420011375
Category : Mathematics
Languages : en
Pages : 371
Book Description
In the area of applied statistics, scientists use statistical distributions to model a wide range of practical problems, from modeling the size grade distribution of onions to modeling global positioning data. To apply these probability models successfully, practitioners and researchers must have a thorough understanding of the theory as well as a
Publisher: CRC Press
ISBN: 1420011375
Category : Mathematics
Languages : en
Pages : 371
Book Description
In the area of applied statistics, scientists use statistical distributions to model a wide range of practical problems, from modeling the size grade distribution of onions to modeling global positioning data. To apply these probability models successfully, practitioners and researchers must have a thorough understanding of the theory as well as a