This book introduces the foundations of multilevel models, using Monopoly® rent data, from the classic board game, and the statistical program Stata®. Widespread experience with the game means many readers have a head start o...Lasīt vairāk
Nonregular factorial designs are a class of factorial designs that enable researchers to study simultaneously the effects of many explanatory variables on a response variable of interest. Factorial designs have been in the mainstream of design res...Lasīt vairāk
A Hands-On Way to Learning Data Analysis Part of the core of statistics, linear models are used to make predictions and explain the relationship between the response and the predictors. Understanding linear models is crucial to a broader competence...Lasīt vairāk
Learn the intricacies of data description, issue identification, and practical problem-solving, armed with essential techniques and expert tips. Key Features Get to grips with new techniques for data preprocessing and cleaning...Lasīt vairāk
This book formulates methods for modeling continuous and categorical correlated outcomes that extend the commonly used methods: generalized estimating equations (GEE) and linear mixed modeling. Partially modified GEE adds estimating equations for var...Lasīt vairāk
This book introduces the foundations of multilevel models, using Monopoly® rent data, from the classic board game, and the statistical program Stata®. Widespread experience with the game means many readers have a head start o...Lasīt vairāk
The Fifth Edition of A Stata® Companion to Political Analysis by Philip H. Pollock III and Barry C. Edwards teaches your students to conduct political research with Stata, one of the most popular statistical software package...Lasīt vairāk
This book presents the latest results related to one- and two-way models for time series data. Analysis of variance (ANOVA) is a classical statistical method for IID data proposed by R.A. Fisher to investigate factors and interactions of phenomena. I...Lasīt vairāk
Designed as a self-contained text, this book covers a wide spectrum of topics on portfolio theory. It covers both the classical-mean-variance portfolio theory as well as non-mean-variance portfolio theory. The book covers topics such as optimal po...Lasīt vairāk
Using the same accessible, hands-on approach as its best-selling predecessor, the Handbook of Univariate and Multivariate Data Analysis with IBM SPSS, Second Edition explains how to apply statistical tests to experimental findings...Lasīt vairāk
This book is primarily aimed at students, researchers, and practitioners from all areas who wish to analyze corresponding data with R. Readers will learn a broad array of models hand-in-hand with R, including the application o...Lasīt vairāk
This book is primarily aimed at students, researchers, and practitioners from all areas who wish to analyze corresponding data with R. Readers will learn a broad array of models hand-in-hand with R, including the application o...Lasīt vairāk
The Third Edition of An R Companion to Political Analysis by Philip H. Pollock III and Barry C. Edwards teaches your students to conduct political research with R, the open-source programming language and soft...Lasīt vairāk
The book addresses the problem of a time-varying unconditional variance of return processes utilizing a spline function. The knots of the spline functions are estimated as free parameters within a joined estimation process together with the parame...Lasīt vairāk
Coefficient of Variation (CV) is a unit free index indicating the consistency of the data associated with a real-world process and is simple to mold into computational paradigms. This book provides necessary exposure of computational strategies, p...Lasīt vairāk
(Izdošanas datums: 16-Apr-2021, Hardback, Izdevniecība: John Wiley & Sons Inc, ISBN-13: 9781119583042)
This second edition improves greatly on the first edition by making the book more accessible to a wider audience, through minimizing theoretical or technical jargon and maximizing conceptual understanding with easy applied software examples. As a...Lasīt vairāk
Analysis of Variance, Design, and Regression: Linear Modeling for Unbalanced Data, Second Edition presents linear structures for modeling data with an emphasis on how to incorporate specific ideas (hypotheses) about the structure...Lasīt vairāk
The book shows you how to view data from multiple perspectives, including data frame and column attributes. You will cover common and not-so-common challenges that are faced while cleaning messy data for complex situations. You will learn to manipul...Lasīt vairāk