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Applied Multivariate Statistical Analysis (Classic Version)

Buch | Softcover
808 Seiten
2018 | 6th edition
Pearson (Verlag)
978-0-13-499539-7 (ISBN)
CHF 189,85 inkl. MwSt
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For courses in Multivariate Statistics, Marketing Research, Intermediate Business Statistics, Statistics in Education, and graduate-level courses in Experimental Design and Statistics.

 

Appropriate for experimental scientists in a variety of disciplines, this market-leading text offers a readable introduction to the statistical analysis of multivariate observations. Its primary goal is to impart the knowledge necessary to make proper interpretations and select appropriate techniques for analyzing multivariate data. Ideal for a junior/senior or graduate level course that explores the statistical methods for describing and analyzing multivariate data, the text assumes two or more statistics courses as a prerequisite.



 

Dean W. Wichern is Professor Emeritus at the Mays School of Business at Texas A&M University. He holds membership in the American Statistical Association, Royal Statistical Society, International Institute of Forecasters, and Institute for Operations Research and the Management Sciences. He is the author for four textbooks and was Associate Editor of  Journal of Business and Economic Statistics from 1983-1991.                      Professor Richard A. Johnson is Professor in the Department of Statistics at the University of Wisconsin. He is a Fellow of the Institute of Mathematical Statistics and the American Statistical Association and he is amember of the Royal Statistical Society and International Statistical Institute. He is the author of six textbooks and over 120 technical publications and is the founding Editor of Statistics and Probability Letters (1981-).

I. GETTING STARTED.
1. Aspects of Multivariate Analysis.
2. Matrix Algebra and Random Vectors.
3. Sample Geometry and Random Sampling.
4. The Multivariate Normal Distribution.
II. INFERENCES ABOUT MULTIVARIATE MEANS AND LINEAR MODELS.
5. Inferences About a Mean Vector.
6. Comparisons of Several Multivariate Means.
7. Multivariate Linear Regression Models.
III. ANALYSIS OF A COVARIANCE STRUCTURE.
8. Principal Components.
9. Factor Analysis and Inference for Structured Covariance Matrices.
10. Canonical Correlation Analysis
IV. CLASSIFICATION AND GROUPING TECHNIQUES.
11. Discrimination and Classification.
12. Clustering, Distance Methods and Ordination.
Appendix.
Data Index.
Subject Index.

Erscheinungsdatum
Reihe/Serie Pearson Modern Classics for Advanced Statistics Series
Sprache englisch
Maße 180 x 236 mm
Gewicht 1338 g
Themenwelt Mathematik / Informatik Mathematik Statistik
Wirtschaft Volkswirtschaftslehre Ökonometrie
ISBN-10 0-13-499539-2 / 0134995392
ISBN-13 978-0-13-499539-7 / 9780134995397
Zustand Neuware
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