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Mathematical Statistics: Basic Ideas and Selected Topics, Volume II

Mathematical Statistics: Basic Ideas and Selected Topics, Volume II

Mathematical Statistics: Basic Ideas and Selected Topics, Volume II
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Mathematical Statistics: Basic Ideas and Selected Topics, Volume II Hardback - 2015

by Peter J Bickel,Kjell A Doksum

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  • Hardback
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CRC Press, November 2015. Hardcover. VG. used hardcover copy in illustrated boards, no jacket, as issued. light shelfwear, corners perhaps slightly bumped. pages and binding are clean, straight and tight. there are no marks to the text or other serious flaws.
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Details

  • Title Mathematical Statistics: Basic Ideas and Selected Topics, Volume II
  • Author Peter J Bickel,Kjell A Doksum
  • Binding Hardback
  • Edition INDIAN EDITIONS
  • Condition Used - VG
  • Pages 488
  • Volumes 1
  • Language ENG
  • Publisher CRC Press
  • Publication date November 2015
  • Illustrated Yes
  • Features Bibliography, Illustrated, Index
  • Bookseller's Inventory # 1527499
  • ISBN 9781498722681 / 1498722687
  • Weight 2.3 lbs (1.04 kg)
  • Dimensions 10.1 x 7.1 x 1.1 in (25.65 x 18.03 x 2.79 cm)
  • Category Business / Economics / Finance
  • Library of Congress subjects Mathematical statistics
  • Library of Congress Catalogue Number 2015452354
  • Dewey Decimal Code 519.5
  • Quantity available 1

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Reader reviews for Mathematical Statistics: Basic Ideas and Selected Topics, Volume II

From the publisher

Mathematical Statistics: Basic Ideas and Selected Topics, Volume II presents important statistical concepts, methods, and tools not covered in the authors' previous volume. This second volume focuses on inference in non- and semiparametric models. It not only reexamines the procedures introduced in the first volume from a more sophisticated point of view but also addresses new problems originating from the analysis of estimation of functions and other complex decision procedures and large-scale data analysis.

The book covers asymptotic efficiency in semiparametric models from the Le Cam and Fisherian points of view as well as some finite sample size optimality criteria based on Lehmann-Scheff theory. It develops the theory of semiparametric maximum likelihood estimation with applications to areas such as survival analysis. It also discusses methods of inference based on sieve models and asymptotic testing theory. The remainder of the book is devoted to model and variable selection, Monte Carlo methods, nonparametric curve estimation, and prediction, classification, and machine learning topics. The necessary background material is included in an appendix.

Using the tools and methods developed in this textbook, students will be ready for advanced research in modern statistics. Numerous examples illustrate statistical modeling and inference concepts while end-of-chapter problems reinforce elementary concepts and introduce important new topics. As in Volume I, measure theory is not required for understanding.

The solutions to exercises for Volume II are included in the back of the book.

Check out Volume I for fundamental, classical statistical concepts leading to the material in this volume.

About the author

Peter J. Bickel is a professor emeritus in the Department of Statistics and a professor in the Graduate School at the University of California, Berkeley. Dr. Bickel is a member of the American Academy of Arts and Sciences and the National Academy of Sciences. He has been a Guggenheim Fellow and MacArthur Fellow, a recipient of the COPSS Presidents' Award, and president of the Bernoulli Society and the Institute of Mathematical Statistics. He holds honorary doctorate degrees from the Hebrew University of Jerusalem and ETH Zurich.

Kjell A. Doksum is a senior scientist in the Department of Statistics at the University of Wisconsin-Madison. His research encompasses the estimation of nonparametric regression and correlation curves, inference for global measures of association in semiparametric and nonparametric settings, the estimation of regression quantiles, statistical modeling and analysis of HIV data, the analysis of financial data, and Bayesian nonparametric inference.

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