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Generalized Linear Mixed Models - Modern Concepts, Methods and Applications
Walter W. Stroup; Marina Ptukhina; Julie Garai
Taylor & Francis Inc (2024)
Kovakantinen kirja
108,50
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How the World Really Works
Vaclav Smil
Penguin Books Ltd (UK) (2022)
Pehmeäkantinen kirja
21,90
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Random Fields and Stochastic Lagrangian Models - Analysis and Applications in Turbulence and Porous Media
Karl K. Sabelfeld; Nikolai A. Simonov
De Gruyter (2012)
Kovakantinen kirja
369,70
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Theory and Application of Uniform Experimental Designs
Kai-Tai Fang; Min-Qian Liu; Hong Qin; Yong-Dao Zhou
Springer Verlag, Singapore (2018)
Pehmeäkantinen kirja
76,40
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Active Statistics: Stories, Games, Problems, and Hands-on Demonstrations for Applied Regression and Causal Inference
Andrew Gelman; Aki Vehtari
Cambridge University Press (2024)
Pehmeäkantinen kirja
27,40
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Probabilistic Networks and Expert Systems - Exact Computational Methods for Bayesian Networks
Robert G. Cowell; Philip Dawid; Steffen L. Lauritzen; David J. Spiegelhalter
Springer-Verlag New York Inc. (1999)
Kovakantinen kirja
152,40
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Measure, Integral and Probability
Marek Capinski; Peter E. Kopp
Springer London Ltd (2004)
Pehmeäkantinen kirja
36,40
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Continued Fractions
A. Ya. Khinchin
Dover Publications Inc. (2003)
Pehmeäkantinen kirja
7,90
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Computerized Adaptive and Multistage Testing with R : Using Packages catR and mstR
David Magis; Duanli Yan; Alina A. von Davier
Springer (2017)
Kovakantinen kirja
61,40
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Applied Probability : From Random Sequences to Stochastic Processes
Valérie Girardin; Nikolaos Limnios
Springer (2018)
Kovakantinen kirja
76,40
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An Introduction to Optimal Control Theory - The Dynamic Programming Approach
Onésimo Hernández-Lerma; Leonardo R. Laura-Guarachi; Saul Mendoza-Palacios; David González-Sánchez
Springer International Publishing AG (2024)
Pehmeäkantinen kirja
61,40
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Statistical Inference
George Casella; Roger Berger
Cengage Learning, Inc (2001)
Kovakantinen kirja
99,00
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Further Topics on Discrete-Time Markov Control Processes
Onesimo Hernandez-Lerma; Jean B. Lasserre
Springer-Verlag New York Inc. (1999)
Kovakantinen kirja
125,70
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Advanced Financial Modelling
Hansjörg Albrecher; Wolfgang J. Runggaldier; Walter Schachermayer
De Gruyter (2009)
Kovakantinen kirja
394,50
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Probabilistic Methods of Signal and System Analysis
George R. Cooper; Clare D. McGillem
Oxford University Press Inc (1998)
Kovakantinen kirja
248,80
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Change Of Time And Change Of Measure
Ole E Barndorff-nielsen; Albert N Shiryaev
World Scientific Publishing Co Pte Ltd (2015)
Kovakantinen kirja
79,50
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Statistical Analysis for High-Dimensional Data - The Abel Symposium 2014
Arnoldo Frigessi; Peter Bühlmann; Ingrid Glad; Mette Langaas; Sylvia Richardson; Marina Vannucci
Springer International Publishing AG (2016)
Kovakantinen kirja
134,60
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The Art of Statistics
David Spiegelhalter
Penguin Books Ltd (UK) (2020)
Pehmeäkantinen kirja
16,90
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Experimental Design : With Application in Management, Engineering, and the Sciences.
Paul D. Berger; Robert E. Maurer; Giovana B. Celli
Springer (2017)
Pehmeäkantinen kirja
125,70
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Characterizing Interdependencies of Multiple Time Series - Theory and Applications
Yuzo Hosoya; Kosuke Oya; Taro Takimoto; Ryo Kinoshita
Springer Verlag, Singapore (2017)
Pehmeäkantinen kirja
56,40
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Generalized Linear Mixed Models - Modern Concepts, Methods and Applications
108,50 €
Taylor & Francis Inc
Sivumäärä: 648 sivua
Asu: Kovakantinen kirja
Painos: 2nd New edition
Julkaisuvuosi: 2024, 21.05.2024 (lisätietoa)
Kieli: Englanti
Generalized Linear Mixed Models: Modern Concepts, Methods, and Applications (2nd edition) presents an updated introduction to linear modeling using the generalized linear mixed model (GLMM) as the overarching conceptual framework. For students new to statistical modeling, this book helps them see the big picture – linear modeling as broadly understood and its intimate connection with statistical design and mathematical statistics. For readers experienced in statistical practice, but new to GLMMs, the book provides a comprehensive introduction to GLMM methodology and its underlying theory.

Unlike textbooks that focus on classical linear models or generalized linear models or mixed models, this book covers all of the above as members of a unified GLMM family of linear models. In addition to essential theory and methodology, this book features a rich collection of examples using SAS® software to illustrate GLMM practice. This second edition is updated to reflect lessons learned and experience gained regarding best practices and modeling choices faced by GLMM practitioners. New to this edition are two chapters focusing on Bayesian methods for GLMMs.

Key Features:

• Most statistical modeling books cover classical linear models or advanced generalized and mixed models; this book covers all members of the GLMM family – classical and advanced models.

• Incorporates lessons learned from experience and on-going research to provide up-to-date examples of best practices.

• Illustrates connections between statistical design and modeling: guidelines for translating study design into appropriate model and in-depth illustrations of how to implement these guidelines; use of GLMM methods to improve planning and design.

• Discusses the difference between marginal and conditional models, differences in the inference space they are intended to address and when each type of model is appropriate.

• In addition to likelihood-based frequentist estimation and inference, provides a brief introduction to Bayesian methods for GLMMs.

Walt Stroup is an Emeritus Professor of Statistics. He served on the University of Nebraska statistics faculty for over 40 years, specializing in statistical modeling and statistical design. He is a Fellow of the American Statistical Association, winner of the University of Nebraska Outstanding Teaching and Innovative Curriculum Award and author or co-author of three books on mixed models and their extensions.

Marina Ptukhina (Pa-too-he-nuh), PhD, is an Associate Professor of Statistics at Whitman College. She is interested in statistical modeling, design and analysis of research studies and their applications. Her research includes applications of statistics to economics, biostatistics and statistical education. Ptukhina earned a PhD in Statistics from the University of Nebraska-Lincoln, a Master of Science degree in Mathematics from Texas Tech University and a Specialist degree in Management from The National Technical University "Kharkiv Polytechnic Institute."

Julie Garai, PhD, is a Data Scientist at Loop. She earned her PhD in Statistics from the University of Nebraska-Lincoln and a bachelor’s degree in Mathematics and Spanish from Doane College. Dr Garai actively collaborates with statisticians, psychologists, ecologists, forest scientists, software engineers, and business leaders in academia and industry. In her spare time, she enjoys leisurely walks with her dogs, dance parties with her children, and playing the trombone.

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Generalized Linear Mixed Models - Modern Concepts, Methods and Applicationszoom
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