Elements of Copula Modelling with R
English, Ivan Kojadinovic, Jun Yan, Marius Hofert, Martin Mächler, 2019More than 10 pieces in stock at supplier
Product details
This book introduces the main theoretical findings related to copulas and shows how statistical modeling of multivariate continuous distributions using copulas can be carried out in the R statistical environment with the package copula, among others. Copulas are multivariate distribution functions with standard uniform univariate margins. They are increasingly applied to modeling dependence among random variables in fields such as risk management, actuarial science, insurance, finance, engineering, hydrology, climatology, and meteorology, to name a few. In the spirit of the Use R! series, each chapter combines key theoretical definitions or results with illustrations in R. Aimed at statisticians, actuaries, risk managers, engineers, and environmental scientists wanting to learn about the theory and practice of copula modeling using R without an overwhelming amount of mathematics, the book.
Language | English |
Author | Ivan Kojadinovic, Jun Yan, Marius Hofert, Martin Mächler |
Year | 2019 |
Number of pages | 277 |
Book cover | Paperback |
Item number | 9089280 |
Publisher | Springer |
Category | Reference books |
Release date | 4.7.2018 |
Language | English |
Author | Ivan Kojadinovic, Jun Yan, Marius Hofert, Martin Mächler |
Year | 2019 |
Number of pages | 277 |
Book cover | Paperback |
CO₂ emissions | 0,5 kg |
Climate contribution | EUR 0,12 |
Product Safety |
30-day right of return if unopened
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