Goodness-of-Fit Statistics for Discrete Multivariate Data


Book Description

The statistical analysis of discrete multivariate data has received a great deal of attention in the statistics literature over the past two decades. The develop ment ofappropriate models is the common theme of books such as Cox (1970), Haberman (1974, 1978, 1979), Bishop et al. (1975), Gokhale and Kullback (1978), Upton (1978), Fienberg (1980), Plackett (1981), Agresti (1984), Goodman (1984), and Freeman (1987). The objective of our book differs from those listed above. Rather than concentrating on model building, our intention is to describe and assess the goodness-of-fit statistics used in the model verification part of the inference process. Those books that emphasize model development tend to assume that the model can be tested with one of the traditional goodness-of-fit tests 2 2 (e.g., Pearson's X or the loglikelihood ratio G ) using a chi-squared critical value. However, it is well known that this can give a poor approximation in many circumstances. This book provides the reader with a unified analysis of the traditional goodness-of-fit tests, describing their behavior and relative merits as well as introducing some new test statistics. The power-divergence family of statistics (Cressie and Read, 1984) is used to link the traditional test statistics through a single real-valued parameter, and provides a way to consolidate and extend the current fragmented literature. As a by-product of our analysis, a new 2 2 statistic emerges "between" Pearson's X and the loglikelihood ratio G that has some valuable properties.




Univariate Discrete Distributions


Book Description

This Set Contains: Continuous Multivariate Distributions, Volume 1, Models and Applications, 2nd Edition by Samuel Kotz, N. Balakrishnan and Normal L. Johnson Continuous Univariate Distributions, Volume 1, 2nd Edition by Samuel Kotz, N. Balakrishnan and Normal L. Johnson Continuous Univariate Distributions, Volume 2, 2nd Edition by Samuel Kotz, N. Balakrishnan and Normal L. Johnson Discrete Multivariate Distributions by Samuel Kotz, N. Balakrishnan and Normal L. Johnson Univariate Discrete Distributions, 3rd Edition by Samuel Kotz, N. Balakrishnan and Normal L. Johnson Discover the latest advances in discrete distributions theory The Third Edition of the critically acclaimed Univariate Discrete Distributions provides a self-contained, systematic treatment of the theory, derivation, and application of probability distributions for count data. Generalized zeta-function and q-series distributions have been added and are covered in detail. New families of distributions, including Lagrangian-type distributions, are integrated into this thoroughly revised and updated text. Additional applications of univariate discrete distributions are explored to demonstrate the flexibility of this powerful method. A thorough survey of recent statistical literature draws attention to many new distributions and results for the classical distributions. Approximately 450 new references along with several new sections are introduced to reflect the current literature and knowledge of discrete distributions. Beginning with mathematical, probability, and statistical fundamentals, the authors provide clear coverage of the key topics in the field, including: Families of discrete distributions Binomial distribution Poisson distribution Negative binomial distribution Hypergeometric distributions Logarithmic and Lagrangian distributions Mixture distributions Stopped-sum distributions Matching, occupancy, runs, and q-series distributions Parametric regression models and miscellanea Emphasis continues to be placed on the increasing relevance of Bayesian inference to discrete distribution, especially with regard to the binomial and Poisson distributions. New derivations of discrete distributions via stochastic processes and random walks are introduced without unnecessarily complex discussions of stochastic processes. Throughout the Third Edition, extensive information has been added to reflect the new role of computer-based applications. With its thorough coverage and balanced presentation of theory and application, this is an excellent and essential reference for statisticians and mathematicians.




Multivariate T-Distributions and Their Applications


Book Description

Almost all the results available in the literature on multivariate t-distributions published in the last 50 years are now collected together in this comprehensive reference. Because these distributions are becoming more prominent in many applications, this book is a must for any serious researcher or consultant working in multivariate analysis and statistical distributions. Much of this material has never before appeared in book form. The first part of the book emphasizes theoretical results of a probabilistic nature. In the second part of the book, these are supplemented by a variety of statistical aspects. Various generalizations and applications are dealt with in the final chapters. The material on estimation and regression models is of special value for practitioners in statistics and economics. A comprehensive bibliography of over 350 references is included.




Continuous Multivariate Distributions, Volume 1


Book Description

Continuous Multivariate Distributions, Volume 1, Second Edition provides a remarkably comprehensive, self-contained resource for this critical statistical area. It covers all significant advances that have occurred in the field over the past quarter century in the theory, methodology, inferential procedures, computational and simulational aspects, and applications of continuous multivariate distributions. In-depth coverage includes MV systems of distributions, MV normal, MV exponential, MV extreme value, MV beta, MV gamma, MV logistic, MV Liouville, and MV Pareto distributions, as well as MV natural exponential families, which have grown immensely since the 1970s. Each distribution is presented in its own chapter along with descriptions of real-world applications gleaned from the current literature on continuous multivariate distributions and their applications.




Discrete Data Analysis with R


Book Description

An Applied Treatment of Modern Graphical Methods for Analyzing Categorical DataDiscrete Data Analysis with R: Visualization and Modeling Techniques for Categorical and Count Data presents an applied treatment of modern methods for the analysis of categorical data, both discrete response data and frequency data. It explains how to use graphical meth




A Primer on Statistical Distributions


Book Description

Designed as an introduction to statistical distribution theory. * Includes a first chapter on basic notations and definitions that are essential to working with distributions. * Remaining chapters are divided into three parts: Discrete Distributions, Continuous Distributions, and Multivariate Distributions. * Exercises are incorporated throughout the text in order to enhance understanding of materials just taught.




Finite Mixture Distributions


Book Description

Finite mixture distributions arise in a variety of applications ranging from the length distribution of fish to the content of DNA in the nuclei of liver cells. The literature surrounding them is large and goes back to the end of the last century when Karl Pearson published his well-known paper on estimating the five parameters in a mixture of two normal distributions. In this text we attempt to review this literature and in addition indicate the practical details of fitting such distributions to sample data. Our hope is that the monograph will be useful to statisticians interested in mixture distributions and to re search workers in other areas applying such distributions to their data. We would like to express our gratitude to Mrs Bertha Lakey for typing the manuscript. Institute oj Psychiatry B. S. Everitt University of London D. l Hand 1980 CHAPTER I General introduction 1. 1 Introduction This monograph is concerned with statistical distributions which can be expressed as superpositions of (usually simpler) component distributions. Such superpositions are termed mixture distributions or compound distributions. For example, the distribution of height in a population of children might be expressed as follows: h(height) = fg(height: age)f(age)d age (1. 1) where g(height: age) is the conditional distribution of height on age, and/(age) is the age distribution of the children in the population.




Probability And Statistics For Economists


Book Description

Probability and Statistics have been widely used in various fields of science, including economics. Like advanced calculus and linear algebra, probability and statistics are indispensable mathematical tools in economics. Statistical inference in economics, namely econometric analysis, plays a crucial methodological role in modern economics, particularly in empirical studies in economics.This textbook covers probability theory and statistical theory in a coherent framework that will be useful in graduate studies in economics, statistics and related fields. As a most important feature, this textbook emphasizes intuition, explanations and applications of probability and statistics from an economic perspective.




Modern Statistical Methods for Spatial and Multivariate Data


Book Description

This contributed volume features invited papers on current models and statistical methods for spatial and multivariate data. With a focus on recent advances in statistics, topics include spatio-temporal aspects, classification techniques, the multivariate outcomes with zero and doubly-inflated data, discrete choice modelling, copula distributions, and feasible algorithmic solutions. Special emphasis is placed on applications such as the use of spatial and spatio-temporal models for rainfall in South Carolina and the multivariate sparse areal mixed model for the Census dataset for the state of Iowa. Articles use simulated and aggregated data examples to show the flexibility and wide applications of proposed techniques. Carefully peer-reviewed and pedagogically presented for a broad readership, this volume is suitable for graduate and postdoctoral students interested in interdisciplinary research. Researchers in applied statistics and sciences will find this book an important resource on the latest developments in the field. In keeping with the STEAM-H series, the editors hope to inspire interdisciplinary understanding and collaboration.




Discrete Multivariate Analysis


Book Description

“A welcome addition to multivariate analysis. The discussion is lucid and very leisurely, excellently illustrated with applications drawn from a wide variety of fields. A good part of the book can be understood without very specialized statistical knowledge. It is a most welcome contribution to an interesting and lively subject.” -- Nature Originally published in 1974, this book is a reprint of a classic, still-valuable text.