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Random Sets in Econometrics Paperback - 2018
by Ilya Molchanov; Francesca Molinari
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- Title Random Sets in Econometrics
- Author Ilya Molchanov; Francesca Molinari
- Binding Paperback
- Pages 194
- Volumes 1
- Language ENG
- Publisher Cambridge University Press
- Date 2018-04-05
- Features Bibliography, Index
- ISBN 9781107548732 / 110754873X
- Weight 0.63 lbs (0.29 kg)
- Dimensions 8.96 x 6.51 x 0.56 in (22.76 x 16.54 x 1.42 cm)
- Library of Congress subjects Econometrics, Random sets
- Library of Congress Catalog Number 2017055335
- Dewey Decimal Code 330.015
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RANDOM SETS IN ECONOMETRICS
by ILYA MOLCHANOV , FRANCESCA MOLINARI
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Random Sets in Econometrics
by Molchanov, Ilya/ Molinari, Francesca
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Cambridge Univ Pr, 2018. Paperback. New. 224 pages. 9.00x6.00x0.50 inches.
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Random Sets in Econometrics
by Ilya Molchanov
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Paperback / softback. New. Random set theory is fundamental to mathematical analysis in econometrics and finance. This is the first book dedicated to the use of the theory in econometrics. Written by leading figures and experts in this area, this book will be of interest to graduate students and researchers in econometrics.
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Random Sets in Econometrics
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Random Sets in Econometrics
by Molchanov, Ilya/ Molinari, Francesca
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Random Sets in Econometrics (Econometric Society Monographs, Series Number 60)
by Molchanov, Ilya; Molinari, Francesca
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Cambridge University Press, 2018-04-11. paperback. New. 6x0x9. Brand New Book in Publishers original Sealing
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Random Sets in Econometrics by Molchanov, Ilya
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ISBN: 9781107548732Cambridge University Press | 22 March 2019
Paperback | 194 pages
Description
Random set theory is a fascinating branch of mathematics that amalgamates techniques from topology, convex geometry, and probability theory. Social scientists routinely conduct empirical work with data and modelling assumptions that reveal a set to which the parameter of interest belongs, but not its exact value. Random set theory provides a coherent mathematical framework to conduct identification analysis and statistical inference in this setting and has become a fundamental tool in econometrics and finance. This is the first book dedicated to the use of the theory in econometrics, written to be accessible for readers without a background in pure mathematics. Molchanov and Molinari define the basics of the theory and illustrate the mathematical concepts by their application in the analysis of econometric models. The book includes sets of exercises to accompany each chapter as well as examples to help… Read More
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