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Linear Models : The Theory and Application of Analysis of Variance, Hardcover...

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Item specifics

Condition
Brand New: A new, unread, unused book in perfect condition with no missing or damaged pages. See the ...
Book Title
Linear Models : The Theory and Application of Analysis of Varianc
ISBN
9780470025666
Subject Area
Mathematics
Publication Name
Linear Models : the Theory and Application of Analysis of Variance
Publisher
Wiley & Sons, Incorporated, John
Item Length
9.4 in
Subject
Probability & Statistics / General
Publication Year
2008
Series
Wiley Series in Probability and Statistics Ser.
Type
Textbook
Format
Hardcover
Language
English
Item Height
0.8 in
Author
Brenton R. Clarke
Item Weight
18.1 Oz
Item Width
6.5 in
Number of Pages
272 Pages

About this product

Product Identifiers

Publisher
Wiley & Sons, Incorporated, John
ISBN-10
0470025662
ISBN-13
9780470025666
eBay Product ID (ePID)
65813443

Product Key Features

Number of Pages
272 Pages
Publication Name
Linear Models : the Theory and Application of Analysis of Variance
Language
English
Subject
Probability & Statistics / General
Publication Year
2008
Type
Textbook
Author
Brenton R. Clarke
Subject Area
Mathematics
Series
Wiley Series in Probability and Statistics Ser.
Format
Hardcover

Dimensions

Item Height
0.8 in
Item Weight
18.1 Oz
Item Length
9.4 in
Item Width
6.5 in

Additional Product Features

Intended Audience
Scholarly & Professional
LCCN
2008-004930
Dewey Edition
22
Reviews
"Solved examples throughout bring clarity to otherwise difficult, complex concepts. Highly recommended." ( CHOICE , March 2009)
Series Volume Number
634
Illustrated
Yes
Dewey Decimal
519.538
Table Of Content
Preface. Acknowledgments. Notation. 1. Introduction. 1.1 The Linear Model and Examples. 1.2 What Are the Objectives?. 1.3 Problems. 2. Projection Matrices and Vector Space Theory. 2.1 Basis of a Vector Space. 2.2 Range and Kernel. 2.3 Projections. 2.3.1 Linear Model Application. 2.4 Sums and Differences of Orthogonal Projections. 2.5 Problems. 3. Least Squares Theory. 3.1 The Normal Equations. 3.2 The Gauss-Markov Theorem. 3.3 The Distribution of SΩ. 3.4 Some Simple Significance Tests. 3.5 Prediction Intervals. 3.6 Problems. 4. Distribution Theory. 4.1 Motivation. 4.2 Non-Central X2 and F Distributions. 4.2.1 Non-Central F-Distribution. 4.2.2 Applications to Linear Models. 4.2.3 Some Simple Extensions. 4.3 Problems. 5. Helmert Matrices and Orthogonal Relationships. 5.1 Transformations to Independent Normally Distributed Random Variables. 5.2 The Kronecker Product. 5.3 Orthogonal Components in Two-Way ANOVA: One Observation Per Cell. 5.4 Orthogonal Components in Two-Way ANOVA with Replications. 5.5 The Gauss-Markov Theorem Revisited. 5.6 Orthogonal Components for Interaction. 5.6.1 Testing for Interaction: One Observation Per Cell. 5.6.2 Example Calculation of Tukey's One's Degree of Freedom Statistic. 5.7 Problems. 6. Further Discussion of ANOVA. 6.1 The Different Representations of Orthogonal Components. 6.2 On the Lack of Orthogonality. 6.3 The Relationship Algebra. 6.4 The Triple Classification. 6.5 Latin Squares. 6.6 2k Factorial Designs. 6.6.1 Yates' Algorithm. 6.7 The Function of Randomization. 6.8 Brief View of Multiple Comparison Techniques. 6.9 Problems. 7. Residual Analysis: Diagnostics and Robustness. 7.1 Design Diagnostics. 7.1.1 Standardized and Studentized Residuals. 7.1.2 Combining Design and Residual Effects on Fit - DFITS. 7.1.3 The Cook-D-Statistic. 7.2 Robust Approaches. 7.2.1 Adaptive Trimmed Likelihood Algorithm. 7.3 Problems. 8. Models That Include Variance Components. 8.1 The One-Way Random Effects Model. 8.2 The Mixed Two-Way Model. 8.3 A Split Plot Design. 8.3.1 A Traditional Model. 8.4 Problems. 9. Likelihood Approaches. 9.1 Maximum Likelihood Estimation. 9.2 REML. 9.3 Discussion of Hierarchical Statistical Models. 9.3.1 Hierarchy for the Mixed Model (Assuming Normality). 9.4 Problems. 10. Uncorrelated Residuals Formed from the Linear Model. 10.1 Best Linear Unbiased Error Estimates. 10.2 The Best Linear Unbiased Scalar-Covariance-Matrix Approach. 10.3 Explicit Solution. 10.4 Recursive Residuals. 10.4.1 Recursive Residuals and their Properties. 10.5 Uncorrelated Residuals. 10.5.1 The Main Results. 10.5.2 Final Remarks. 10.6 Problems. 11. Further inferential questions relating to ANOVA. References. Index.
Synopsis
An insightful approach to the analysis of variance in the study of linear models Linear Models explores the theory of linear models and the dynamic relationships that these models have with Analysis of Variance (ANOVA), experimental design, and random and mixed-model effects. This one-of-a-kind book emphasizes an approach that clearly explains the distribution theory of linear models and experimental design starting from basic mathematical concepts in linear algebra. The author begins with a presentation of the classic fixed-effects linear model and goes on to illustrate eight common linear models, along with the value of their use in statistics. From this foundation, subsequent chapters introduce concepts pertaining to the linear model, starting with vector space theory and the theory of least-squares estimation. An outline of the Helmert matrix is also presented, along with a thorough explanation of how the ANOVA is created in both typical two-way and higher layout designs, ultimately revealing the distribution theory. Other important topics covered include: Vector space theory The theory of least squares estimation Gauss-Markov theorem Kronecker products Diagnostic and robust methods for linear models Likelihood approaches to estimation A discussion of Bayesian theory is also included for purposes of comparison and contrast, and numerous illustrative exercises assist the reader with uncovering the nature of the models, using both classic and new data sets. Requiring only a working knowledge of basic probability and statistical inference, Linear Models is a valuable book for courses on linear models at the upper-undergraduate and graduate levels. It is also an excellent reference for practitioners who use linear models to conduct research in the fields of econometrics, psychology, sociology, biology, and agriculture., This graduate-level book succinctly describes the role of analysis of variance (ANOVA) in the study of linear models. Applications to linear regression (both simple and multiple) and to experimental design are included in order to help explain the theory behind and the analysis of ANOVA techniques.
LC Classification Number
QA279.C55 2008

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