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Elliptically Contoured Models in Statistics and Portfolio Theory

BookPaperback
Ranking16667inMathematik
CHF72.90

Description

Elliptically Contoured Models in Statistics and Portfolio Theory fully revises the first detailed introduction to the theory of matrix variate elliptically contoured distributions. There are two additional chapters, and all the original chapters of this classic text have been updated. Resources in this book will be valuable for researchers, practitioners, and graduate students in statistics and related fields of finance and engineering. Those interested in multivariate statistical analysis and its application to portfolio theory will find this text immediately useful. In multivariate statistical analysis, elliptical distributions have recently provided an alternative to the normal model. Elliptical distributions have also increased their popularity in finance because of the ability to model heavy tails usually observed in real data. Most of the work, however, is spread out in journals throughout the world and is not easily accessible to the investigators. A noteworthy function of this book is the collection of the most important results on the theory of matrix variate elliptically contoured distributions that were previously only available in the journal-based literature. The content is organized in a unified manner that can serve an a valuable introduction to the subject.
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Details

ISBN/GTIN978-1-4939-5328-8
Product TypeBook
BindingPaperback
Publication countryGermany
Publishing date23/08/2016
EditionSoftcover reprint of the original 2nd ed. 2013
Pages344 pages
LanguageEnglish
SizeWidth 155 mm, Height 235 mm, Thickness 19 mm
Weight522 g
Article no.27695311
CatalogsBuchzentrum
Data source no.20458882
Product groupMathematik
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Author