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Book Majorization and the Lorenz Order  A Brief Introduction

Download or read book Majorization and the Lorenz Order A Brief Introduction written by Barry C. Arnold and published by Springer Science & Business Media. This book was released on 2012-12-06 with total page 130 pages. Available in PDF, EPUB and Kindle. Book excerpt: My interest in majorization was first spurred by Ingram aIkin's proclivity for finding Schur convex functions lurking in the problem section of every issue of the American Mathematical Monthly. Later my interest in income inequality led me again to try and "really" understand Hardy, Littlewood and Polya' s contributions to the majori zation literature. I have found the income distribution context to be quite convenient for discussion of inequality orderings. The pre sent set of notes is designed for a one quarter course introducing majorization and the Lorenz order. The inequality principles of Dalton, especially the transfer or Robin Hood principle, are given appropriate prominence. Initial versions of these notes were used in graduate statistics classes taught at the Colegio de Postgraduados, Chapingo, Mexico and the University of California, Riverside. I am grateful to students in these classes for their constructive critical commentaries. My wife Carole made noble efforts to harness my free form writ ing and punctuation. Occasionally I was unmoved by her requests for clarification. Time will probably prove her right in these instances also. Peggy Franklin did an outstanding job of typing the manu script, and patiently endured requests for innumerable modifications.

Book Majorization and the Lorenz Order with Applications in Applied Mathematics and Economics

Download or read book Majorization and the Lorenz Order with Applications in Applied Mathematics and Economics written by Barry C. Arnold and published by Springer. This book was released on 2018-07-27 with total page 272 pages. Available in PDF, EPUB and Kindle. Book excerpt: This book was written to serve as a graduate-level textbook for special topics classes in mathematics, statistics, and economics, to introduce these topics to other researchers, and for use in short courses. It is an introduction to the theory of majorization and related notions, and contains detailed material on economic applications of majorization and the Lorenz order, investigating the theoretical aspects of these two interrelated orderings. Revising and expanding on an earlier monograph, Majorization and the Lorenz Order: A Brief Introduction, the authors provide a straightforward development and explanation of majorization concepts, addressing historical development of the topics, and providing up-to-date coverage of families of Lorenz curves. The exposition of multivariate Lorenz orderings sets it apart from existing treatments of these topics. Mathematicians, theoretical statisticians, economists, and other social scientists who already recognize the utility of the Lorenz order in income inequality contexts and arenas will find the book useful for its sound development of relevant concepts rigorously linked to both the majorization literature and the even more extensive body of research on economic applications. Barry C. Arnold, PhD, is Distinguished Professor in the Statistics Department at the University of California, Riverside. He is a Fellow of the American Statistical Society, the American Association for the Advancement of Science, and the Institute of Mathematical Statistics, and is an elected member of the International Statistical Institute. He is the author of more than two hundred publications and eight books. José María Sarabia, PhD, is Professor of Statistics and Quantitative Methods in Business and Economics in the Department of Economics at the University of Cantabria, Spain. He is author of more than one hundred and fifty publications and ten books and is an associate editor of several journals including TEST, Communications in Statistics, and Journal of Statistical Distributions and Applications.

Book Inequalities  Theory of Majorization and Its Applications

Download or read book Inequalities Theory of Majorization and Its Applications written by Albert W. Marshall and published by Springer Science & Business Media. This book was released on 2010-11-25 with total page 919 pages. Available in PDF, EPUB and Kindle. Book excerpt: This book’s first edition has been widely cited by researchers in diverse fields. The following are excerpts from reviews. “Inequalities: Theory of Majorization and its Applications” merits strong praise. It is innovative, coherent, well written and, most importantly, a pleasure to read. ... This work is a valuable resource!” (Mathematical Reviews). “The authors ... present an extremely rich collection of inequalities in a remarkably coherent and unified approach. The book is a major work on inequalities, rich in content and original in organization.” (Siam Review). “The appearance of ... Inequalities in 1979 had a great impact on the mathematical sciences. By showing how a single concept unified a staggering amount of material from widely diverse disciplines–probability, geometry, statistics, operations research, etc.–this work was a revelation to those of us who had been trying to make sense of his own corner of this material.” (Linear Algebra and its Applications). This greatly expanded new edition includes recent research on stochastic, multivariate and group majorization, Lorenz order, and applications in physics and chemistry, in economics and political science, in matrix inequalities, and in probability and statistics. The reference list has almost doubled.

Book Statistical Disclosure Control in Practice

Download or read book Statistical Disclosure Control in Practice written by Leon Willenborg and published by Springer Science & Business Media. This book was released on 2012-12-06 with total page 164 pages. Available in PDF, EPUB and Kindle. Book excerpt: The aim of this book is to discuss various aspects associated with disseminating personal or business data collected in censuses or surveys or copied from administrative sources. The problem is to present the data in such a form that they are useful for statistical research and to provide sufficient protection for the individuals or businesses to whom the data refer. The major part of this book is concerned with how to define the disclosure problem and how to deal with it in practical circumstances.

Book Learning from Data

    Book Details:
  • Author : Doug Fisher
  • Publisher : Springer Science & Business Media
  • Release : 2012-12-06
  • ISBN : 1461224047
  • Pages : 444 pages

Download or read book Learning from Data written by Doug Fisher and published by Springer Science & Business Media. This book was released on 2012-12-06 with total page 444 pages. Available in PDF, EPUB and Kindle. Book excerpt: Ten years ago Bill Gale of AT&T Bell Laboratories was primary organizer of the first Workshop on Artificial Intelligence and Statistics. In the early days of the Workshop series it seemed clear that researchers in AI and statistics had common interests, though with different emphases, goals, and vocabularies. In learning and model selection, for example, a historical goal of AI to build autonomous agents probably contributed to a focus on parameter-free learning systems, which relied little on an external analyst's assumptions about the data. This seemed at odds with statistical strategy, which stemmed from a view that model selection methods were tools to augment, not replace, the abilities of a human analyst. Thus, statisticians have traditionally spent considerably more time exploiting prior information of the environment to model data and exploratory data analysis methods tailored to their assumptions. In statistics, special emphasis is placed on model checking, making extensive use of residual analysis, because all models are 'wrong', but some are better than others. It is increasingly recognized that AI researchers and/or AI programs can exploit the same kind of statistical strategies to good effect. Often AI researchers and statisticians emphasized different aspects of what in retrospect we might now regard as the same overriding tasks.

Book Athens Conference on Applied Probability and Time Series Analysis

Download or read book Athens Conference on Applied Probability and Time Series Analysis written by C.C. Heyde and published by Springer Science & Business Media. This book was released on 2012-12-06 with total page 460 pages. Available in PDF, EPUB and Kindle. Book excerpt: The Athens Conference on Applied Probability and Time Series in 1995 brought together researchers from across the world. The published papers appear in two volumes. Volume I includes papers on applied probability in Honor of J.M. Gani. The topics include probability and probabilistic methods in recursive algorithms and stochastic models, Markov and other stochastic models such as Markov chains, branching processes and semi-Markov systems, biomathematical and genetic models, epidemilogical models including S-I-R (Susceptible-Infective-Removal), household and AIDS epidemics, financial models for option pricing and optimization problems, random walks, queues and their waiting times, and spatial models for earthquakes and inference on spatial models.

Book Wavelets and Statistics

    Book Details:
  • Author : Anestis Antoniadis
  • Publisher : Springer Science & Business Media
  • Release : 2012-12-06
  • ISBN : 1461225442
  • Pages : 407 pages

Download or read book Wavelets and Statistics written by Anestis Antoniadis and published by Springer Science & Business Media. This book was released on 2012-12-06 with total page 407 pages. Available in PDF, EPUB and Kindle. Book excerpt: Despite its short history, wavelet theory has found applications in a remarkable diversity of disciplines: mathematics, physics, numerical analysis, signal processing, probability theory and statistics. The abundance of intriguing and useful features enjoyed by wavelet and wavelet packed transforms has led to their application to a wide range of statistical and signal processing problems. On November 16-18, 1994, a conference on Wavelets and Statistics was held at Villard de Lans, France, organized by the Institute IMAG-LMC, Grenoble, France. The meeting was the 15th in the series of the Rencontres Pranco-Belges des 8tatisticiens and was attended by 74 mathematicians from 12 different countries. Following tradition, both theoretical statistical results and practical contributions of this active field of statistical research were presented. The editors and the local organizers hope that this volume reflects the broad spectrum of the conference. as it includes 21 articles contributed by specialists in various areas in this field. The material compiled is fairly wide in scope and ranges from the development of new tools for non parametric curve estimation to applied problems, such as detection of transients in signal processing and image segmentation. The articles are arranged in alphabetical order by author rather than subject matter. However, to help the reader, a subjective classification of the articles is provided at the end of the book. Several articles of this volume are directly or indirectly concerned with several as pects of wavelet-based function estimation and signal denoising.

Book Symmetric and Asymmetric Distributions

Download or read book Symmetric and Asymmetric Distributions written by Emilio Gómez Déniz and published by MDPI. This book was released on 2021-01-21 with total page 146 pages. Available in PDF, EPUB and Kindle. Book excerpt: In recent years, the advances and abilities of computer software have substantially increased the number of scientific publications that seek to introduce new probabilistic modelling frameworks, including continuous and discrete approaches, and univariate and multivariate models. Many of these theoretical and applied statistical works are related to distributions that try to break the symmetry of the normal distribution and other similar symmetric models, mainly using Azzalini's scheme. This strategy uses a symmetric distribution as a baseline case, then an extra parameter is added to the parent model to control the skewness of the new family of probability distributions. The most widespread and popular model is the one based on the normal distribution that produces the skewed normal distribution. In this Special Issue on symmetric and asymmetric distributions, works related to this topic are presented, as well as theoretical and applied proposals that have connections with and implications for this topic. Immediate applications of this line of work include different scenarios such as economics, environmental sciences, biometrics, engineering, health, etc. This Special Issue comprises nine works that follow this methodology derived using a simple process while retaining the rigor that the subject deserves. Readers of this Issue will surely find future lines of work that will enable them to achieve fruitful research results.

Book Pareto Distributions

Download or read book Pareto Distributions written by Barry C. Arnold and published by CRC Press. This book was released on 2015-03-10 with total page 435 pages. Available in PDF, EPUB and Kindle. Book excerpt: Since the publication of the first edition over 30 years ago, the literature related to Pareto distributions has flourished to encompass computer-based inference methods. Pareto Distributions, Second Edition provides broad, up-to-date coverage of the Pareto model and its extensions. This edition expands several chapters to accommodate recent result

Book Mathematical Risk Analysis

    Book Details:
  • Author : Ludger Rüschendorf
  • Publisher : Springer Science & Business Media
  • Release : 2013-03-12
  • ISBN : 364233590X
  • Pages : 414 pages

Download or read book Mathematical Risk Analysis written by Ludger Rüschendorf and published by Springer Science & Business Media. This book was released on 2013-03-12 with total page 414 pages. Available in PDF, EPUB and Kindle. Book excerpt: The author's particular interest in the area of risk measures is to combine this theory with the analysis of dependence properties. The present volume gives an introduction of basic concepts and methods in mathematical risk analysis, in particular of those parts of risk theory that are of special relevance to finance and insurance. Describing the influence of dependence in multivariate stochastic models on risk vectors is the main focus of the text that presents main ideas and methods as well as their relevance to practical applications. The first part introduces basic probabilistic tools and methods of distributional analysis, and describes their use to the modeling of dependence and to the derivation of risk bounds in these models. In the second, part risk measures with a particular focus on those in the financial and insurance context are presented. The final parts are then devoted to applications relevant to optimal risk allocation, optimal portfolio problems as well as to the optimization of insurance contracts. Good knowledge of basic probability and statistics as well as of basic general mathematics is a prerequisite for comfortably reading and working with the present volume, which is intended for graduate students, practitioners and researchers and can serve as a reference resource for the main concepts and techniques.

Book Network Performance Engineering

Download or read book Network Performance Engineering written by Demetres D. Kouvatsos and published by Springer Science & Business Media. This book was released on 2011-05-09 with total page 1073 pages. Available in PDF, EPUB and Kindle. Book excerpt: During recent years a great deal of progress has been made in performance modelling and evaluation of the Internet, towards the convergence of multi-service networks of diverging technologies, supported by internetworking and the evolution of diverse access and switching technologies. The 44 chapters presented in this handbook are revised invited works drawn from PhD courses held at recent HETNETs International Working Conferences on Performance Modelling and Evaluation of Heterogeneous Networks. They constitute essential introductory material preparing the reader for further research and development in the field of performance modelling, analysis and engineering of heterogeneous networks and of next and future generation Internets. The handbook aims to unify relevant material already known but dispersed in the literature, introduce the readers to unfamiliar and unexposed research areas and, generally, illustrate the diversity of research found in the high growth field of convergent heterogeneous networks and the Internet. The chapters have been broadly classified into 12 parts covering the following topics: Measurement Techniques; Traffic Modelling and Engineering; Queueing Systems and Networks; Analytic Methodologies; Simulation Techniques; Performance Evaluation Studies; Mobile, Wireless and Ad Hoc Networks, Optical Networks; QoS Metrics and Algorithms; All IP Convergence and Networking; Network Management and Services; and Overlay Networks.

Book Green Communications

    Book Details:
  • Author : Jinsong Wu
  • Publisher : CRC Press
  • Release : 2016-04-19
  • ISBN : 146657867X
  • Pages : 840 pages

Download or read book Green Communications written by Jinsong Wu and published by CRC Press. This book was released on 2016-04-19 with total page 840 pages. Available in PDF, EPUB and Kindle. Book excerpt: Nowadays energy crisis and global warming problems are hanging over everyone's head, urging much research work on energy saving. In the ICT industry, which is becoming a major consumer of global energy triggered by the telecommunication network operators experiencing energy cost as a significant factor in profit calculations, researchers have start

Book Smoothness Priors Analysis of Time Series

Download or read book Smoothness Priors Analysis of Time Series written by Genshiro Kitagawa and published by Springer Science & Business Media. This book was released on 2012-12-06 with total page 265 pages. Available in PDF, EPUB and Kindle. Book excerpt: Smoothness Priors Analysis of Time Series addresses some of the problems of modeling stationary and nonstationary time series primarily from a Bayesian stochastic regression "smoothness priors" state space point of view. Prior distributions on model coefficients are parametrized by hyperparameters. Maximizing the likelihood of a small number of hyperparameters permits the robust modeling of a time series with relatively complex structure and a very large number of implicitly inferred parameters. The critical statistical ideas in smoothness priors are the likelihood of the Bayesian model and the use of likelihood as a measure of the goodness of fit of the model. The emphasis is on a general state space approach in which the recursive conditional distributions for prediction, filtering, and smoothing are realized using a variety of nonstandard methods including numerical integration, a Gaussian mixture distribution-two filter smoothing formula, and a Monte Carlo "particle-path tracing" method in which the distributions are approximated by many realizations. The methods are applicable for modeling time series with complex structures.

Book  2  Inverses and Their Statistical Application

Download or read book 2 Inverses and Their Statistical Application written by Albert J. Getson and published by Springer Science & Business Media. This book was released on 2012-12-06 with total page 120 pages. Available in PDF, EPUB and Kindle. Book excerpt: Much of the traditional approach to linear model analysis is bound up in complex matrix expressions revolving about the usual generalized inverse. Motivated by this important role of the generalized inverse. the research summarized here began as an interest in understanding. in geometric terms. the four conditions defining the qnique Moore-Penrose Inverse. Such an investigation. it was hoped. might lead to a better understanding. and possibly a simplification of. the usual matrix expressions. Initially this research was begun by Francis Hsuan and Pat Langenberg, without knowledge of Kruskal's paper published in 1975. This oversight was perhaps fortu nate. since if they had read his paper they may not have continued their effort. A summary of this early research appears in Hsuan. Langenberg and Getson (1985). This monograph is a summary of the research on {2}-inverses continued by Al Getson. while a graduate student. in collaboration with Francis Hsuan of the Depart ment of Statistics. School of Business Administration. at Temple University. Philadelphia. The literature on generalized inverses and related topics is extensive and some of what is present here has appeared elsewhere. Generally. this literature is not presented from the point of view of {2}-inverses. We have tried to do justice to . the relevant published works and appologize for those we have either overlooked or possibly misrepresented.

Book The Matching Methodology  Some Statistical Properties

Download or read book The Matching Methodology Some Statistical Properties written by Prem K. Goel and published by Springer Science & Business Media. This book was released on 2012-12-06 with total page 163 pages. Available in PDF, EPUB and Kindle. Book excerpt: Incomplete-data problems arise naturally in many instances of statistical practice. One class of incomplete-data problems, which is relatively not well understood by statisticians, is that of merging micro-data files. Many Federal agencies use the methodology of file-merging to create comprehensive files from multiple but incomplete sources of data. The main objective of this endeavor is to perform statistical analyses on the synthetic data set generated by file merging. In general, these analyses cannot be performed by analyzing the incomplete data sets separately. The validity and the efficacy of the file-merging methodology can be assessed by means of statistical models underlying the mechanisms which may generate the incomplete files. However, a completely satisfactory and unified theory of file-merging has not yet been developed This monograph is only a minor attempt to fill this void for unifying known models. Here, we review the optimal properties of some known matching strategies and derive new results thereof. However, a great number of unsolved problems still need the attention of very many researchers. One main problem still to be resolved is the development of appropriate inference methodology from merged files if one insists on using file merging methodology. If this monograph succeeds in attracting just a few more mathematical statisticians to work on this class of problems, then we will feel that our efforts have been successful.

Book Nonparametric Regression Analysis of Longitudinal Data

Download or read book Nonparametric Regression Analysis of Longitudinal Data written by Hans-Georg Müller and published by Springer Science & Business Media. This book was released on 2012-12-06 with total page 208 pages. Available in PDF, EPUB and Kindle. Book excerpt: This monograph reviews some of the work that has been done for longitudi nal data in the rapidly expanding field of nonparametric regression. The aim is to give the reader an impression of the basic mathematical tools that have been applied, and also to provide intuition about the methods and applications. Applications to the analysis of longitudinal studies are emphasized to encourage the non-specialist and applied statistician to try these methods out. To facilitate this, FORTRAN programs are provided which carry out some of the procedures described in the text. The emphasis of most research work so far has been on the theoretical aspects of nonparametric regression. It is my hope that these techniques will gain a firm place in the repertoire of applied statisticians who realize the large potential for convincing applications and the need to use these techniques concurrently with parametric regression. This text evolved during a set of lectures given by the author at the Division of Statistics at the University of California, Davis in Fall 1986 and is based on the author's Habilitationsschrift submitted to the University of Marburg in Spring 1985 as well as on published and unpublished work. Completeness is not attempted, neither in the text nor in the references. The following persons have been particularly generous in sharing research or giving advice: Th. Gasser, P. Ihm, Y. P. Mack, V. Mammi tzsch, G . G. Roussas, U. Stadtmuller, W. Stute and R.

Book Statistical Information and Likelihood

Download or read book Statistical Information and Likelihood written by D. Basu and published by Springer Science & Business Media. This book was released on 2012-12-06 with total page 386 pages. Available in PDF, EPUB and Kindle. Book excerpt: It is an honor to be asked to write a foreword to this book, for I believe that it and other books to follow will eventually lead to a dramatic change in the current statistics curriculum in our universities. I spent the 1975-76 academic year at Florida State University in Tallahassee. My purpose was to complete a book on Statistical Reliability Theory with Frank Proschan. At the time, I was working on total time on test processes. At the same time, I started attending lectures by Dev Basu on statistical inference. It was Lehmann's hypothesis testing course and Lehmann's book was the text. However, I noticed something strange - Basu never opened the book. He was obviously not following it. Instead, he was giving a very elegant, measure theoretic treatment of the concepts of sufficiency, ancillarity, and invariance. He was interested in the concept of information - what it meant. - how it fitted in with contemporary statistics. As he looked at the fundamental ideas, the logic behind their use seemed to evaporate. I was shocked. I didn't like priors. I didn't like Bayesian statistics. But after the smoke had cleared, that was all that was left. Basu loves counterexamples. He is like an art critic in the field of statistical inference. He would find a counterexample to the Bayesian approach if he could. So far, he has failed in this respect.