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1. Talarico, Alina Marcondes. Modelo de calibração ultraestrutural.

Degree: Mestrado, Ciências de Computação e Matemática Computacional, 2014, University of São Paulo

URL: http://www.teses.usp.br/teses/disponiveis/55/55134/tde-26032014-161411/ ;

►

Os programas de Ensaios de Prociência (EP) são utilizados pela sociedade para avaliar a competência e a confiabilidade de laboratórios na execução de medições específicas.… (more)

Subjects/Keywords: Calibration model; Distribuição normal multivariada; Distribuição t multivariada; Modelo de calibração; Multivariate normal distribution; Multivariate t distribution

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APA · Chicago · MLA · Vancouver · CSE | Export to Zotero / EndNote / Reference Manager

APA (6^{th} Edition):

Talarico, A. M. (2014). Modelo de calibração ultraestrutural. (Masters Thesis). University of São Paulo. Retrieved from http://www.teses.usp.br/teses/disponiveis/55/55134/tde-26032014-161411/ ;

Chicago Manual of Style (16^{th} Edition):

Talarico, Alina Marcondes. “Modelo de calibração ultraestrutural.” 2014. Masters Thesis, University of São Paulo. Accessed December 14, 2019. http://www.teses.usp.br/teses/disponiveis/55/55134/tde-26032014-161411/ ;.

MLA Handbook (7^{th} Edition):

Talarico, Alina Marcondes. “Modelo de calibração ultraestrutural.” 2014. Web. 14 Dec 2019.

Vancouver:

Talarico AM. Modelo de calibração ultraestrutural. [Internet] [Masters thesis]. University of São Paulo; 2014. [cited 2019 Dec 14]. Available from: http://www.teses.usp.br/teses/disponiveis/55/55134/tde-26032014-161411/ ;.

Council of Science Editors:

Talarico AM. Modelo de calibração ultraestrutural. [Masters Thesis]. University of São Paulo; 2014. Available from: http://www.teses.usp.br/teses/disponiveis/55/55134/tde-26032014-161411/ ;

University of Oxford

2. Gaunt, Robert E. Rates of convergence of variance-gamma approximations via Stein's method.

Degree: PhD, 2013, University of Oxford

URL: http://ora.ox.ac.uk/objects/uuid:5ddc6def-5821-4e72-8784-cfe2dc8b6c03 ; https://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.664761

► Stein's method is a powerful technique that can be used to obtain bounds for approximation errors in a weak convergence setting. The method has been…
(more)

Subjects/Keywords: 519.2; Probability; Stein's method; Variance-Gamma distribution; product normal distribution; chi-square distribution; functions of multivariate normal random variables; rate of convergence; coupling; distributional transformation; Friedman's statistic

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APA (6^{th} Edition):

Gaunt, R. E. (2013). Rates of convergence of variance-gamma approximations via Stein's method. (Doctoral Dissertation). University of Oxford. Retrieved from http://ora.ox.ac.uk/objects/uuid:5ddc6def-5821-4e72-8784-cfe2dc8b6c03 ; https://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.664761

Chicago Manual of Style (16^{th} Edition):

Gaunt, Robert E. “Rates of convergence of variance-gamma approximations via Stein's method.” 2013. Doctoral Dissertation, University of Oxford. Accessed December 14, 2019. http://ora.ox.ac.uk/objects/uuid:5ddc6def-5821-4e72-8784-cfe2dc8b6c03 ; https://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.664761.

MLA Handbook (7^{th} Edition):

Gaunt, Robert E. “Rates of convergence of variance-gamma approximations via Stein's method.” 2013. Web. 14 Dec 2019.

Vancouver:

Gaunt RE. Rates of convergence of variance-gamma approximations via Stein's method. [Internet] [Doctoral dissertation]. University of Oxford; 2013. [cited 2019 Dec 14]. Available from: http://ora.ox.ac.uk/objects/uuid:5ddc6def-5821-4e72-8784-cfe2dc8b6c03 ; https://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.664761.

Council of Science Editors:

Gaunt RE. Rates of convergence of variance-gamma approximations via Stein's method. [Doctoral Dissertation]. University of Oxford; 2013. Available from: http://ora.ox.ac.uk/objects/uuid:5ddc6def-5821-4e72-8784-cfe2dc8b6c03 ; https://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.664761

KTH

3. Sundin, Jesper. Risk contribution and its application in asset and risk management for life insurance.

Degree: Mathematical Statistics, 2016, KTH

URL: http://urn.kb.se/resolve?urn=urn:nbn:se:kth:diva-188873

►

In risk management one important aspect is the allocation of total portfolio risk into its components. This can be done by measuring each components'… (more)

Subjects/Keywords: Risk contribution; capital allocation; Value-at-Risk; elliptical distri-bution; multivariate log-normal distribution; kernel estimation

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APA (6^{th} Edition):

Sundin, J. (2016). Risk contribution and its application in asset and risk management for life insurance. (Thesis). KTH. Retrieved from http://urn.kb.se/resolve?urn=urn:nbn:se:kth:diva-188873

Note: this citation may be lacking information needed for this citation format:

Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16^{th} Edition):

Sundin, Jesper. “Risk contribution and its application in asset and risk management for life insurance.” 2016. Thesis, KTH. Accessed December 14, 2019. http://urn.kb.se/resolve?urn=urn:nbn:se:kth:diva-188873.

Note: this citation may be lacking information needed for this citation format:

Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7^{th} Edition):

Sundin, Jesper. “Risk contribution and its application in asset and risk management for life insurance.” 2016. Web. 14 Dec 2019.

Vancouver:

Sundin J. Risk contribution and its application in asset and risk management for life insurance. [Internet] [Thesis]. KTH; 2016. [cited 2019 Dec 14]. Available from: http://urn.kb.se/resolve?urn=urn:nbn:se:kth:diva-188873.

Note: this citation may be lacking information needed for this citation format:

Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

Sundin J. Risk contribution and its application in asset and risk management for life insurance. [Thesis]. KTH; 2016. Available from: http://urn.kb.se/resolve?urn=urn:nbn:se:kth:diva-188873

Not specified: Masters Thesis or Doctoral Dissertation

4.
Daniela Carine Ramires de Oliveira.
Skew *normal* mixed models in microarray data generated from complex pedigrees.

Degree: 2009, UNIVERSIDADE FEDERAL DE LAVRAS

URL: http://bdtd.ufla.br//tde_busca/arquivo.php?codArquivo=2653

►

Estimates of heritability for gene expression are scarce and commonly originated from family structures, in which the variability of responses among and within families are… (more)

Subjects/Keywords: simulaÃÃo Monte Carlo via cadeias de Markov; inferÃncia bayesiana; MCMC; modelo aditivo-dominante; multivariate skew normal distribution; bayesian inference; ESTATISTICA; additive-dominance model; distribuiÃÃo normal assimÃtrica multivariada

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APA · Chicago · MLA · Vancouver · CSE | Export to Zotero / EndNote / Reference Manager

APA (6^{th} Edition):

Oliveira, D. C. R. d. (2009). Skew normal mixed models in microarray data generated from complex pedigrees. (Thesis). UNIVERSIDADE FEDERAL DE LAVRAS. Retrieved from http://bdtd.ufla.br//tde_busca/arquivo.php?codArquivo=2653

Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16^{th} Edition):

Oliveira, Daniela Carine Ramires de. “Skew normal mixed models in microarray data generated from complex pedigrees.” 2009. Thesis, UNIVERSIDADE FEDERAL DE LAVRAS. Accessed December 14, 2019. http://bdtd.ufla.br//tde_busca/arquivo.php?codArquivo=2653.

Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7^{th} Edition):

Oliveira, Daniela Carine Ramires de. “Skew normal mixed models in microarray data generated from complex pedigrees.” 2009. Web. 14 Dec 2019.

Vancouver:

Oliveira DCRd. Skew normal mixed models in microarray data generated from complex pedigrees. [Internet] [Thesis]. UNIVERSIDADE FEDERAL DE LAVRAS; 2009. [cited 2019 Dec 14]. Available from: http://bdtd.ufla.br//tde_busca/arquivo.php?codArquivo=2653.

Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

Oliveira DCRd. Skew normal mixed models in microarray data generated from complex pedigrees. [Thesis]. UNIVERSIDADE FEDERAL DE LAVRAS; 2009. Available from: http://bdtd.ufla.br//tde_busca/arquivo.php?codArquivo=2653

Not specified: Masters Thesis or Doctoral Dissertation

University of Guelph

5. Silva, H. Anjali. Bayesian Clustering Approaches for Discrete Data .

Degree: 2017, University of Guelph

URL: https://atrium.lib.uoguelph.ca/xmlui/handle/10214/13025

► Unsupervised classification or clustering uses no a priori knowledge of the labels of the observations in the process of categorizing data. The research contained in…
(more)

Subjects/Keywords: Clustering; RNA sequencing; Discrete data; Multivariate Poisson-Log Normal distribution; Markov chain Monte Carlo; Factor analyzers; Matrix variate distribution; Co-expression network

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APA (6^{th} Edition):

Silva, H. A. (2017). Bayesian Clustering Approaches for Discrete Data . (Thesis). University of Guelph. Retrieved from https://atrium.lib.uoguelph.ca/xmlui/handle/10214/13025

Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16^{th} Edition):

Silva, H Anjali. “Bayesian Clustering Approaches for Discrete Data .” 2017. Thesis, University of Guelph. Accessed December 14, 2019. https://atrium.lib.uoguelph.ca/xmlui/handle/10214/13025.

Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7^{th} Edition):

Silva, H Anjali. “Bayesian Clustering Approaches for Discrete Data .” 2017. Web. 14 Dec 2019.

Vancouver:

Silva HA. Bayesian Clustering Approaches for Discrete Data . [Internet] [Thesis]. University of Guelph; 2017. [cited 2019 Dec 14]. Available from: https://atrium.lib.uoguelph.ca/xmlui/handle/10214/13025.

Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

Silva HA. Bayesian Clustering Approaches for Discrete Data . [Thesis]. University of Guelph; 2017. Available from: https://atrium.lib.uoguelph.ca/xmlui/handle/10214/13025

Not specified: Masters Thesis or Doctoral Dissertation

6.
Orjuela, Maria del Pilar.
A Study on the Correlation of Bivariate And Trivariate *Normal* Models.

Degree: MS, Statistics, 2013, Florida International University

URL: http://digitalcommons.fiu.edu/etd/976 ; 10.25148/etd.FI13120413 ; FI13120413

► Suppose two or more variables are jointly normally distributed. If there is a common relationship between these variables it would be very important to…
(more)

Subjects/Keywords: Bivariate Normal Distribution; Trivariate Normal Distribution; Equal Variances and equal Covariances; Correlation Coefficient; Multivariate Analysis; Statistical Theory

…called covariance permutation-symmetric for *multivariate* *normal* *distribution*, our task is then… …*NORMAL* *DISTRIBUTION* . . . . . . . . . . . . . . . . .
2.1 General Discussion… …*NORMAL* *DISTRIBUTION* . . . . . . . . . . . .
3.1 General Discussion… …3.3 Sampling *Distribution* of ρ
ˆ of Trivariate *Normal* *Distribution* . .
3.3.1 The Limiting… …OF BIVARIATE *NORMAL* *DISTRIBUTION*…

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APA (6^{th} Edition):

Orjuela, M. d. P. (2013). A Study on the Correlation of Bivariate And Trivariate Normal Models. (Thesis). Florida International University. Retrieved from http://digitalcommons.fiu.edu/etd/976 ; 10.25148/etd.FI13120413 ; FI13120413

Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16^{th} Edition):

Orjuela, Maria del Pilar. “A Study on the Correlation of Bivariate And Trivariate Normal Models.” 2013. Thesis, Florida International University. Accessed December 14, 2019. http://digitalcommons.fiu.edu/etd/976 ; 10.25148/etd.FI13120413 ; FI13120413.

Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7^{th} Edition):

Orjuela, Maria del Pilar. “A Study on the Correlation of Bivariate And Trivariate Normal Models.” 2013. Web. 14 Dec 2019.

Vancouver:

Orjuela MdP. A Study on the Correlation of Bivariate And Trivariate Normal Models. [Internet] [Thesis]. Florida International University; 2013. [cited 2019 Dec 14]. Available from: http://digitalcommons.fiu.edu/etd/976 ; 10.25148/etd.FI13120413 ; FI13120413.

Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

Orjuela MdP. A Study on the Correlation of Bivariate And Trivariate Normal Models. [Thesis]. Florida International University; 2013. Available from: http://digitalcommons.fiu.edu/etd/976 ; 10.25148/etd.FI13120413 ; FI13120413

Not specified: Masters Thesis or Doctoral Dissertation

7. Deng, Jun, active 2013. A novel approach to modeling and predicting crash frequency at rural intersections by crash type and injury severity level.

Degree: MSin Engineering, Civil Engineering, 2013, University of Texas – Austin

URL: http://hdl.handle.net/2152/23634

► Safety at intersections is of significant interest to transportation professionals due to the large number of possible conflicts that occur at those locations. In particular,…
(more)

Subjects/Keywords: Crashes in rural intersections; Injury severity level; Crash type; Multivariate count data; Generalized ordered-response; Multinational probit; Multivariate normal distribution

…*multivariate* *normal*
*distribution* of R dimensions with mean vector b and covariance matrix Σ , IDEN R… …*distribution* for each crash count
variable. If a *multivariate* *distribution* is assumed for these… …*normal* error terms across the
different count event states, this leads to a *multivariate* count… …Awondo et al., 2011).
This is essentially the form of the *multivariate* Poisson-log *normal*… …realization from a *multivariate* *normal* density function with mean
vector b and covariance matrix Ω…

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APA (6^{th} Edition):

Deng, Jun, a. 2. (2013). A novel approach to modeling and predicting crash frequency at rural intersections by crash type and injury severity level. (Masters Thesis). University of Texas – Austin. Retrieved from http://hdl.handle.net/2152/23634

Chicago Manual of Style (16^{th} Edition):

Deng, Jun, active 2013. “A novel approach to modeling and predicting crash frequency at rural intersections by crash type and injury severity level.” 2013. Masters Thesis, University of Texas – Austin. Accessed December 14, 2019. http://hdl.handle.net/2152/23634.

MLA Handbook (7^{th} Edition):

Deng, Jun, active 2013. “A novel approach to modeling and predicting crash frequency at rural intersections by crash type and injury severity level.” 2013. Web. 14 Dec 2019.

Vancouver:

Deng, Jun a2. A novel approach to modeling and predicting crash frequency at rural intersections by crash type and injury severity level. [Internet] [Masters thesis]. University of Texas – Austin; 2013. [cited 2019 Dec 14]. Available from: http://hdl.handle.net/2152/23634.

Council of Science Editors:

Deng, Jun a2. A novel approach to modeling and predicting crash frequency at rural intersections by crash type and injury severity level. [Masters Thesis]. University of Texas – Austin; 2013. Available from: http://hdl.handle.net/2152/23634

8. Olympio Teixeira Neto. Modelos assimétricos com efeitos aleatórios para dados pré-teste/pós-teste.

Degree: 2007, Universidade Federal de São Carlos

URL: http://www.bdtd.ufscar.br/htdocs/tedeSimplificado//tde_busca/arquivo.php?codArquivo=1494

►

The Pretest/Posttests models are special cases of repeated measures studies. The designs aim basically to compare pre and post treatment in experimental units during a… (more)

Subjects/Keywords: Modelos lineares (Estatística); Técnicas de inferência; Distribuição (Probabilidades); Inferência bayesiana; ESTATISTICA; Bayesian inference; Covariance analysis; E-M algorithm; Kummer s distribution; Multiple linear regression; Multiplicative models; Multivariate skew normal; Pretest/Posttest Models; Random effects models

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APA (6^{th} Edition):

Neto, O. T. (2007). Modelos assimétricos com efeitos aleatórios para dados pré-teste/pós-teste. (Thesis). Universidade Federal de São Carlos. Retrieved from http://www.bdtd.ufscar.br/htdocs/tedeSimplificado//tde_busca/arquivo.php?codArquivo=1494

Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16^{th} Edition):

Neto, Olympio Teixeira. “Modelos assimétricos com efeitos aleatórios para dados pré-teste/pós-teste.” 2007. Thesis, Universidade Federal de São Carlos. Accessed December 14, 2019. http://www.bdtd.ufscar.br/htdocs/tedeSimplificado//tde_busca/arquivo.php?codArquivo=1494.

Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7^{th} Edition):

Neto, Olympio Teixeira. “Modelos assimétricos com efeitos aleatórios para dados pré-teste/pós-teste.” 2007. Web. 14 Dec 2019.

Vancouver:

Neto OT. Modelos assimétricos com efeitos aleatórios para dados pré-teste/pós-teste. [Internet] [Thesis]. Universidade Federal de São Carlos; 2007. [cited 2019 Dec 14]. Available from: http://www.bdtd.ufscar.br/htdocs/tedeSimplificado//tde_busca/arquivo.php?codArquivo=1494.

Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

Neto OT. Modelos assimétricos com efeitos aleatórios para dados pré-teste/pós-teste. [Thesis]. Universidade Federal de São Carlos; 2007. Available from: http://www.bdtd.ufscar.br/htdocs/tedeSimplificado//tde_busca/arquivo.php?codArquivo=1494

Not specified: Masters Thesis or Doctoral Dissertation

Georgia Southern University

9. Parham, Kellen M. Monitoring for a Shift in a Process Covariance Matrix Using the Generalized Variance.

Degree: MSin Mathematics (M.S.), Department of Mathematical Sciences, 2010, Georgia Southern University

URL: https://digitalcommons.georgiasouthern.edu/etd/663

► The commonly recommended charts for monitoring the mean vector are affected by a shift in the covariance matrix. As in the univariate case, a chart…
(more)

Subjects/Keywords: ETD; Average run length; Cumulative sum charts; Independent samples; Integral equations; Markov chain; Multivariate normal distribution; Shewhart charts; Mathematical statistics; Graphic methods; Jack N. Averitt College of Graduate Studies, Electronic Theses & Dissertations, ETDs, Student Research

Record Details Similar Records

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APA (6^{th} Edition):

Parham, K. M. (2010). Monitoring for a Shift in a Process Covariance Matrix Using the Generalized Variance. (Masters Thesis). Georgia Southern University. Retrieved from https://digitalcommons.georgiasouthern.edu/etd/663

Chicago Manual of Style (16^{th} Edition):

Parham, Kellen M. “Monitoring for a Shift in a Process Covariance Matrix Using the Generalized Variance.” 2010. Masters Thesis, Georgia Southern University. Accessed December 14, 2019. https://digitalcommons.georgiasouthern.edu/etd/663.

MLA Handbook (7^{th} Edition):

Parham, Kellen M. “Monitoring for a Shift in a Process Covariance Matrix Using the Generalized Variance.” 2010. Web. 14 Dec 2019.

Vancouver:

Parham KM. Monitoring for a Shift in a Process Covariance Matrix Using the Generalized Variance. [Internet] [Masters thesis]. Georgia Southern University; 2010. [cited 2019 Dec 14]. Available from: https://digitalcommons.georgiasouthern.edu/etd/663.

Council of Science Editors:

Parham KM. Monitoring for a Shift in a Process Covariance Matrix Using the Generalized Variance. [Masters Thesis]. Georgia Southern University; 2010. Available from: https://digitalcommons.georgiasouthern.edu/etd/663

McMaster University

10.
Jana, Sayantee.
Inference for Generalized *Multivariate* Analysis of Variance (GMANOVA) Models and High-dimensional Extensions.

Degree: PhD, 2017, McMaster University

URL: http://hdl.handle.net/11375/22043

► A Growth Curve Model (GCM) is a *multivariate* linear model used for analyzing longitudinal data with short to moderate time series. It is a special…
(more)

Subjects/Keywords: Growth Curve Model (GCM); GMANOVA models; Bayesian methods; High-dimensional data; Longitudinal analysis; Multivariate Skew Normal distribution; Extended Growth Curve Model (EGCM); EM algorithm; Restricted EM algorithm; Matrix Newton Raphson method

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APA (6^{th} Edition):

Jana, S. (2017). Inference for Generalized Multivariate Analysis of Variance (GMANOVA) Models and High-dimensional Extensions. (Doctoral Dissertation). McMaster University. Retrieved from http://hdl.handle.net/11375/22043

Chicago Manual of Style (16^{th} Edition):

Jana, Sayantee. “Inference for Generalized Multivariate Analysis of Variance (GMANOVA) Models and High-dimensional Extensions.” 2017. Doctoral Dissertation, McMaster University. Accessed December 14, 2019. http://hdl.handle.net/11375/22043.

MLA Handbook (7^{th} Edition):

Jana, Sayantee. “Inference for Generalized Multivariate Analysis of Variance (GMANOVA) Models and High-dimensional Extensions.” 2017. Web. 14 Dec 2019.

Vancouver:

Jana S. Inference for Generalized Multivariate Analysis of Variance (GMANOVA) Models and High-dimensional Extensions. [Internet] [Doctoral dissertation]. McMaster University; 2017. [cited 2019 Dec 14]. Available from: http://hdl.handle.net/11375/22043.

Council of Science Editors:

Jana S. Inference for Generalized Multivariate Analysis of Variance (GMANOVA) Models and High-dimensional Extensions. [Doctoral Dissertation]. McMaster University; 2017. Available from: http://hdl.handle.net/11375/22043

Queensland University of Technology

11. Nguyen, Theanh. SHM through flexible vibration sensing technologies and robust safety evaluation paradigm.

Degree: 2014, Queensland University of Technology

URL: https://eprints.qut.edu.au/78632/

► This research has successfully developed a novel synthetic structural health monitoring system model that is cost-effective and flexible in sensing and data acquisition; and robust…
(more)

Subjects/Keywords: Structural Health Monitoring; SHM-oriented Wireless Sensor Network; Semi-complete Data Synchronization; Data Synchronization Error; Ethernet distributed Data Acquisition; Data-based Safety Evaluation; Output-only Modal Analysis; Level-1 Damage Identification; Multivariate Normal Distribution; Controlled Monte Carlo Data Generation

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APA (6^{th} Edition):

Nguyen, T. (2014). SHM through flexible vibration sensing technologies and robust safety evaluation paradigm. (Thesis). Queensland University of Technology. Retrieved from https://eprints.qut.edu.au/78632/

Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16^{th} Edition):

Nguyen, Theanh. “SHM through flexible vibration sensing technologies and robust safety evaluation paradigm.” 2014. Thesis, Queensland University of Technology. Accessed December 14, 2019. https://eprints.qut.edu.au/78632/.

Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7^{th} Edition):

Nguyen, Theanh. “SHM through flexible vibration sensing technologies and robust safety evaluation paradigm.” 2014. Web. 14 Dec 2019.

Vancouver:

Nguyen T. SHM through flexible vibration sensing technologies and robust safety evaluation paradigm. [Internet] [Thesis]. Queensland University of Technology; 2014. [cited 2019 Dec 14]. Available from: https://eprints.qut.edu.au/78632/.

Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

Nguyen T. SHM through flexible vibration sensing technologies and robust safety evaluation paradigm. [Thesis]. Queensland University of Technology; 2014. Available from: https://eprints.qut.edu.au/78632/

Not specified: Masters Thesis or Doctoral Dissertation

12.
Karlsson, Emil.
Explicit Estimators for a Banded Covariance Matrix in a *Multivariate* *Normal* * Distribution*.

Degree: The Institute of Technology, 2014, Linköping UniversityLinköping University

URL: http://urn.kb.se/resolve?urn=urn:nbn:se:liu:diva-107194

► The problem of estimating mean and covariances of a *multivariate* *normal* distributedrandom vector has been studied in many forms. This thesis focuses on the…
(more)

Subjects/Keywords: Banded covariance matrices; Covariance matrix estimation; Explicit estimators; Multivariate normal distribution; general linear model.; Mathematics; Matematik

…*multivariate* *normal* *distribution*
Np,n (M , Σ, Ψ) - matrix *normal* *distribution*
MLE - Maximum… …least approximately, normally distributed.
The *multivariate* *normal* *distribution* is also… …*multivariate* *normal* *distribution* can be
found in its mean and covariances. Because of this… …the *multivariate* and matrix *normal* *distribution*. These results can be found
in [4, 8, 9… …*multivariate* (vector-) *normal* *distribution*.
Definition 22. A random vector xm is said to…

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APA (6^{th} Edition):

Karlsson, E. (2014). Explicit Estimators for a Banded Covariance Matrix in a Multivariate Normal Distribution. (Thesis). Linköping UniversityLinköping University. Retrieved from http://urn.kb.se/resolve?urn=urn:nbn:se:liu:diva-107194

Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16^{th} Edition):

Karlsson, Emil. “Explicit Estimators for a Banded Covariance Matrix in a Multivariate Normal Distribution.” 2014. Thesis, Linköping UniversityLinköping University. Accessed December 14, 2019. http://urn.kb.se/resolve?urn=urn:nbn:se:liu:diva-107194.

Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7^{th} Edition):

Karlsson, Emil. “Explicit Estimators for a Banded Covariance Matrix in a Multivariate Normal Distribution.” 2014. Web. 14 Dec 2019.

Vancouver:

Karlsson E. Explicit Estimators for a Banded Covariance Matrix in a Multivariate Normal Distribution. [Internet] [Thesis]. Linköping UniversityLinköping University; 2014. [cited 2019 Dec 14]. Available from: http://urn.kb.se/resolve?urn=urn:nbn:se:liu:diva-107194.

Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

Karlsson E. Explicit Estimators for a Banded Covariance Matrix in a Multivariate Normal Distribution. [Thesis]. Linköping UniversityLinköping University; 2014. Available from: http://urn.kb.se/resolve?urn=urn:nbn:se:liu:diva-107194

Not specified: Masters Thesis or Doctoral Dissertation

13. Nikolić, Dragana. Diskriminantna analiza.

Degree: 2017, Univerza v Mariboru

URL: https://dk.um.si/IzpisGradiva.php?id=68762 ; https://dk.um.si/Dokument.php?id=119697&dn= ; https://plus.si.cobiss.net/opac7/bib/23459080?lang=sl

►

V magistrskem delu so predstavljene osnove diskriminantne analize. Magistrsko delo je razdeljeno v štiri dele. V prvem delu so predstavljeni osnovni pojmi statistike, potrebni za… (more)

Subjects/Keywords: diskriminantna analiza; diskriminantna funkcija; normalna porazdelitev, analiza variance; multivariatna analiza variance; statistični testi; Discriminant Analysis; Discriminant Function; Normal Distribution, Analysis of Variance; Multivariate Analysis of Variance; statistical tests; info:eu-repo/classification/udc/519.237(043.2)

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APA · Chicago · MLA · Vancouver · CSE | Export to Zotero / EndNote / Reference Manager

APA (6^{th} Edition):

Nikolić, D. (2017). Diskriminantna analiza. (Masters Thesis). Univerza v Mariboru. Retrieved from https://dk.um.si/IzpisGradiva.php?id=68762 ; https://dk.um.si/Dokument.php?id=119697&dn= ; https://plus.si.cobiss.net/opac7/bib/23459080?lang=sl

Chicago Manual of Style (16^{th} Edition):

Nikolić, Dragana. “Diskriminantna analiza.” 2017. Masters Thesis, Univerza v Mariboru. Accessed December 14, 2019. https://dk.um.si/IzpisGradiva.php?id=68762 ; https://dk.um.si/Dokument.php?id=119697&dn= ; https://plus.si.cobiss.net/opac7/bib/23459080?lang=sl.

MLA Handbook (7^{th} Edition):

Nikolić, Dragana. “Diskriminantna analiza.” 2017. Web. 14 Dec 2019.

Vancouver:

Nikolić D. Diskriminantna analiza. [Internet] [Masters thesis]. Univerza v Mariboru; 2017. [cited 2019 Dec 14]. Available from: https://dk.um.si/IzpisGradiva.php?id=68762 ; https://dk.um.si/Dokument.php?id=119697&dn= ; https://plus.si.cobiss.net/opac7/bib/23459080?lang=sl.

Council of Science Editors:

Nikolić D. Diskriminantna analiza. [Masters Thesis]. Univerza v Mariboru; 2017. Available from: https://dk.um.si/IzpisGradiva.php?id=68762 ; https://dk.um.si/Dokument.php?id=119697&dn= ; https://plus.si.cobiss.net/opac7/bib/23459080?lang=sl

14. Hasan, Abeer. A Study of non-central Skew t Distributions and their Applications in Data Analysis and Change Point Detection.

Degree: PhD, Statistics, 2013, Bowling Green State University

URL: http://rave.ohiolink.edu/etdc/view?acc_num=bgsu1371055538

► Over the past three decades there has been a growing interest in searching for *distribution* families that are suitable to analyze skewed data with excess…
(more)

Subjects/Keywords: Mathematics; Statistics; Distribution Theory; Probability Density Function; Skewness; Kurtosis; Multivariate Statistics; Skew Normal Distribution; Truncated Density; Moment Generating Function; Change Point; AIC; SIC

…x28;2004) uses the *multivariate* skew *normal* *distribution* to model weekly returns of
UK… …*MULTIVARIATE* SKEW *NORMAL* *DISTRIBUTION*
Azzalini (1985) introduced a *multivariate* extension… …constructed a *multivariate* *distribution* with skew
*normal* marginals and refer to it as “*multivariate*… …it is natural to define the joint *distribution* of Z to
be a *multivariate* skew *normal*… …variable.
Definition 1.4.4. (*Multivariate* Skew *Normal* *Distribution*): A random vector Z…

Record Details Similar Records

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APA · Chicago · MLA · Vancouver · CSE | Export to Zotero / EndNote / Reference Manager

APA (6^{th} Edition):

Hasan, A. (2013). A Study of non-central Skew t Distributions and their Applications in Data Analysis and Change Point Detection. (Doctoral Dissertation). Bowling Green State University. Retrieved from http://rave.ohiolink.edu/etdc/view?acc_num=bgsu1371055538

Chicago Manual of Style (16^{th} Edition):

Hasan, Abeer. “A Study of non-central Skew t Distributions and their Applications in Data Analysis and Change Point Detection.” 2013. Doctoral Dissertation, Bowling Green State University. Accessed December 14, 2019. http://rave.ohiolink.edu/etdc/view?acc_num=bgsu1371055538.

MLA Handbook (7^{th} Edition):

Hasan, Abeer. “A Study of non-central Skew t Distributions and their Applications in Data Analysis and Change Point Detection.” 2013. Web. 14 Dec 2019.

Vancouver:

Hasan A. A Study of non-central Skew t Distributions and their Applications in Data Analysis and Change Point Detection. [Internet] [Doctoral dissertation]. Bowling Green State University; 2013. [cited 2019 Dec 14]. Available from: http://rave.ohiolink.edu/etdc/view?acc_num=bgsu1371055538.

Council of Science Editors:

Hasan A. A Study of non-central Skew t Distributions and their Applications in Data Analysis and Change Point Detection. [Doctoral Dissertation]. Bowling Green State University; 2013. Available from: http://rave.ohiolink.edu/etdc/view?acc_num=bgsu1371055538

15. Ahmad, Ali. Contribution à l'économétrie des séries temporelles à valeurs entières : Contribution to econometrics of time series with integer values.

Degree: Docteur es, Mathématiques appliquées aux sciences économiques, 2016, Lille 3

URL: http://www.theses.fr/2016LIL30059

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Dans cette thèse, nous étudions des modèles de moyennes conditionnelles de séries temporelles à valeurs entières. Tout d’abord, nous proposons l’estimateur de quasi maximum de… (more)

Subjects/Keywords: Bord de l’espace des paramètres; Consistance et normalité asymptotique; Modèles INAR; Modèles INGARCH; Estimateur du quasi maximum de vraisemblance de Poisson; Test portmanteau; Test d’adéquation; Séries temporelles multivariées à valeurs entières; Boundary of the parameter space; Consistency and asymptotic normality; Integer-Valued AR and GARCH models; Non-Normal asymptotic distribution; Poisson quasi-Maximum likelihood estimator; Portmanteau test; Goodness-Offit; Multivariate time series of counts

Record Details Similar Records

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APA · Chicago · MLA · Vancouver · CSE | Export to Zotero / EndNote / Reference Manager

APA (6^{th} Edition):

Ahmad, A. (2016). Contribution à l'économétrie des séries temporelles à valeurs entières : Contribution to econometrics of time series with integer values. (Doctoral Dissertation). Lille 3. Retrieved from http://www.theses.fr/2016LIL30059

Chicago Manual of Style (16^{th} Edition):

Ahmad, Ali. “Contribution à l'économétrie des séries temporelles à valeurs entières : Contribution to econometrics of time series with integer values.” 2016. Doctoral Dissertation, Lille 3. Accessed December 14, 2019. http://www.theses.fr/2016LIL30059.

MLA Handbook (7^{th} Edition):

Ahmad, Ali. “Contribution à l'économétrie des séries temporelles à valeurs entières : Contribution to econometrics of time series with integer values.” 2016. Web. 14 Dec 2019.

Vancouver:

Ahmad A. Contribution à l'économétrie des séries temporelles à valeurs entières : Contribution to econometrics of time series with integer values. [Internet] [Doctoral dissertation]. Lille 3; 2016. [cited 2019 Dec 14]. Available from: http://www.theses.fr/2016LIL30059.

Council of Science Editors:

Ahmad A. Contribution à l'économétrie des séries temporelles à valeurs entières : Contribution to econometrics of time series with integer values. [Doctoral Dissertation]. Lille 3; 2016. Available from: http://www.theses.fr/2016LIL30059

16. Πετρόπουλος, Κωνσταντίνος. Εκτίμηση παραμέτρων κλίμακος και ποσοστιαίων σημείων.

Degree: 2002, University of Patras; Πανεπιστήμιο Πατρών

URL: http://hdl.handle.net/10442/hedi/14286

Subjects/Keywords: Θεωρία αποφάσεων; Εκτιμητές τύπου Stein παραμέτρων κλίμακος; Εκτιμητές τύπου Stein ποσοστιαίων σημείων; Εκτιμητές τύπου Brewster ποσοστιαίων σημείων; Εκτιμητές τύπου Zidek ποσοστιαίων σημείων; Εκτιμητές τύπου Zidek παραμέτρων κλίμακος; Εκτιμητές τύπου Brewster παραμέτρων κλίμακος; Μείξη κανονικών κατανομών; Μείξη εκθετικών κατανομών; Πολυμεταβλητή t; Πολυμεταβλητή κατανομή lomax; Decision theory; Stein's estimator of a scale parameter; Brewster's estimator of a scale parameter; Zidek's estimator of a scale parameter; Zidek's estimator of quantile; Stein's estimator of quantile; Brewster's estimator of quantile; Mixture of normal distributions; Mixture of exponential distributions; Multivariate t distribution; Multivariate lomax distribution

Record Details Similar Records

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APA · Chicago · MLA · Vancouver · CSE | Export to Zotero / EndNote / Reference Manager

APA (6^{th} Edition):

Πετρόπουλος, . . (2002). Εκτίμηση παραμέτρων κλίμακος και ποσοστιαίων σημείων. (Thesis). University of Patras; Πανεπιστήμιο Πατρών. Retrieved from http://hdl.handle.net/10442/hedi/14286

Not specified: Masters Thesis or Doctoral Dissertation

Chicago Manual of Style (16^{th} Edition):

Πετρόπουλος, Κωνσταντίνος. “Εκτίμηση παραμέτρων κλίμακος και ποσοστιαίων σημείων.” 2002. Thesis, University of Patras; Πανεπιστήμιο Πατρών. Accessed December 14, 2019. http://hdl.handle.net/10442/hedi/14286.

Not specified: Masters Thesis or Doctoral Dissertation

MLA Handbook (7^{th} Edition):

Πετρόπουλος, Κωνσταντίνος. “Εκτίμηση παραμέτρων κλίμακος και ποσοστιαίων σημείων.” 2002. Web. 14 Dec 2019.

Vancouver:

Πετρόπουλος . Εκτίμηση παραμέτρων κλίμακος και ποσοστιαίων σημείων. [Internet] [Thesis]. University of Patras; Πανεπιστήμιο Πατρών; 2002. [cited 2019 Dec 14]. Available from: http://hdl.handle.net/10442/hedi/14286.

Not specified: Masters Thesis or Doctoral Dissertation

Council of Science Editors:

Πετρόπουλος . Εκτίμηση παραμέτρων κλίμακος και ποσοστιαίων σημείων. [Thesis]. University of Patras; Πανεπιστήμιο Πατρών; 2002. Available from: http://hdl.handle.net/10442/hedi/14286

Not specified: Masters Thesis or Doctoral Dissertation