Statistical Modeling and Analysis for Complex Data Problems
From MaRDI portal
Publication:5316722
DOI10.1007/b105993zbMath1071.62500OpenAlexW606684156MaRDI QIDQ5316722
No author found.
Publication date: 14 September 2005
Full work available at URL: https://doi.org/10.1007/b105993
Proceedings, conferences, collections, etc. pertaining to statistics (62-06) Collections of articles of miscellaneous specific interest (00B15)
Related Items (21)
Estimating correlation from dichotomized normal variables ⋮ Finite normal mixture copulas for multivariate discrete data modeling ⋮ Goodness-of-fit tests for SPARMA models with dependent error terms ⋮ Stochastic monotonicity of dependent variables given their sum ⋮ Vine copulas with asymmetric tail dependence and applications to financial return data ⋮ Geometric interpretation of the residual dependence coefficient ⋮ Estimating weak periodic vector autoregressive time series ⋮ Spearman rank correlation of the bivariate Student \(t\) and scale mixtures of normal distributions ⋮ Diagnostic checking in FARIMA models with uncorrelated but non-independent error terms ⋮ Estimation of functional ARMA models ⋮ On the specification of multivariate association measures and their behaviour with increasing dimension ⋮ Detecting departures from meta-ellipticity for multivariate stationary time series ⋮ Estimation of weak ARMA models with regime changes ⋮ On the extremal dependence coefficient of multivariate distributions ⋮ Multivariate portmanteau tests for weak multiplicative seasonal VARMA models ⋮ Goodness-of-fit tests for copulas: A review and a power study ⋮ On nonparametric tests of multivariate meta-ellipticity ⋮ Sklar's theorem, copula products, and ordering results in factor models ⋮ One-sample location tests for multilevel data ⋮ Stochastic orderings of multivariate elliptical distributions ⋮ Local efficiency of a Cramér\,-\,von Mises test of independence
This page was built for publication: Statistical Modeling and Analysis for Complex Data Problems