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- Physica-Verlag HD 2012; US$ 162.01
This COMPSTAT 2002 book contains the Keynote, Invited, and Full Contributed papers presented in Berlin, August 2002. A companion volume including Short Communications and Posters is published on CD. The COMPSTAT 2002 is the 15th conference in a serie of biannual conferences with the objective to present the latest developments in Computational Statistics... more...
- Springer Berlin Heidelberg 2015; US$ 57.24
This book presents the tools and concepts of multivariate data analysis. It demonstrates the application of simple calculus and basic multivariate methods in real life situations, and features more than 200 solved exercises. more...
- Springer Berlin Heidelberg 2015; US$ 64.80
Focusing on high-dimensional applications, this 4th edition presents the tools and concepts used in multivariate data analysis in a style that is also accessible for non-mathematicians and practitioners. All chapters include practical exercises that highlight applications in different multivariate data analysis fields. All of the examples involve... more...
- Springer Berlin Heidelberg 2005; US$ 97.20
Statistical Tools in Finance and Insurance presents ready-to-use solutions, theoretical developments and method construction for many practical problems in quantitative finance and insurance. Written by practitioners and leading academics in the field, this book offers a unique combination of topics from which every market analyst and risk manager... more...
- Springer Berlin Heidelberg 2006; US$ 140.41
Biostatistics is one of the scientific fields for which the recent developments have been extremely important. It is also strongly related to other scientific disciplines involving statistical methodology. The aim of this book is to cover a wide scope of recent statistical methods used by scientists in biostatistics as well as in other related fields... more...
- Springer Berlin Heidelberg 2008; US$ 97.20
This text explores developments and solutions for many practical problems confronting quantitative methods in financial research and industry. It is a synthesis of scientific contributions on practical implementation and theoretical concepts. more...
- Springer Berlin Heidelberg 2011; US$ 140.41
This book presents ready-to-use solutions, theoretical developments and method construction for many practical problems in quantitative finance and insurance. It offers a unique combination of topics that will benefit every market analyst and risk manager. more...
- Physica-Verlag HD 2012; US$ 108.00
In the last ten years, there has been increasing interest and activity in the general area of partially linear regression smoothing in statistics. Many methods and techniques have been proposed and studied. This monograph hopes to bring an up-to-date presentation of the state of the art of partially linear regression techniques. The emphasis is on... more...
- Springer Berlin Heidelberg 2013; US$ 86.40
Copulas are mathematical objects that fully capture the dependence structure among random variables and hence offer great flexibility in building multivariate stochastic models. Since their introduction in the early 1950s, copulas have gained considerable popularity in several fields of applied mathematics, especially finance and insurance. Today,... more...
- Springer International Publishing 2015; US$ 46.44
This book covers all the topics found in introductory descriptive statistics courses, including simple linear regression and time series analysis, the fundamentals of inferential statistics (probability theory, random sampling and estimation theory), and inferential statistics itself (confidence intervals, testing). Each chapter starts with the necessary... more...