Fermilab Fermilab Core Computing Division

Library Home |  Ask a Librarian library@fnal.gov |  Book Catalog |  Library Journals |  Requests |  SPIRES |  Fermilab Documents |

Fermilab Library
SPIRES-BOOKS: FIND KEYWORD PUBLIC FINANCE *END*INIT* use /tmp/qspiwww.webspi1/5662.76 QRY 131.225.70.96 . find keyword public finance ( in books using www Cover
Image
Call number:SPRINGER-2016-9789811008719:ONLINE Show nearby items on shelf
Title:Complex Surveys Analysis of Categorical Data
Author(s): Parimal Mukhopadhyay
Date:2016
Size:1 online resource (248 p.)
Note:10.1007/978-981-10-0871-9
Contents:Chapter 1. Preliminaries -- Chapter 2. The Design-Effects and Mis-Specification Effects -- Chapter 3. Some Classical Models in Categorical Data Analysis -- Chapter 4. Analysis of Categorical Data under a Full Model -- Chapter 5. Analysis of Catego rical Data under Log-Linear Models -- Chapter 6. Analysis of Categorical Data under Logistic Regression Model -- Chapter 7. Analysis in the Presence of Classification Errors -- Chapter 8. Approximate MLE’s from Survey Data
ISBN:9789811008719
Series:eBooks
Series:SpringerLink (Online service)
Series:Springer eBooks
Keywords: Statistics , Statistics , Statistical Theory and Methods , Statistics for Business/Economics/Mathematical Finance/Insurance , Statistics for Life Sciences, Medicine, Health Sciences , Statistics for Social Science, Behavorial Science, Education, Public Policy, and
Availability:Click here to see Library holdings or inquire at Circ Desk (x3401)
Click to reserve this book Be sure to include your ID please.
More info:Amazon.com
More info: Barnes and Noble
Full Text:Click here
Location: ONLINE

Cover
Image
Call number:SPRINGER-2016-9789811004018:ONLINE Show nearby items on shelf
Title:Applied Statistics for Social and Management Sciences
Author(s): Abdul Quader Miah
Date:2016
Edition:1st ed. 2016
Size:1 online resource (444 p.)
Note:10.1007/978-981-10-0401-8
Contents:1: Basics -- 2: Presentation of Statistical Data -- 3: Descriptive Statistics -- 4: Probability Theory -- 5: Probability Distributions -- 6: Statistical Inference -- 7: Hypothesis Testing -- 8: The Chi-Square Test -- 9: Non-Parametric Test -- 10: C orrelation -- 11: Simple Regression -- 12: Multiple Regression -- 13: Sampling Theory -- 14: Determination of Sample Size -- 15: Index Numbers -- 16: Analysis of Financial Data -- 17: Experimental Design -- 18: Statistical Quality Control -- 19: Summary f or Hypothesis Testing
ISBN:9789811004018
Series:eBooks
Series:SpringerLink (Online service)
Series:Springer eBooks
Keywords: Statistics , Statistics , Statistics for Social Science, Behavorial Science, Education, Public Policy, and , Statistics for Business/Economics/Mathematical Finance/Insurance , Statistical Theory and Methods
Availability:Click here to see Library holdings or inquire at Circ Desk (x3401)
Click to reserve this book Be sure to include your ID please.
More info:Amazon.com
More info: Barnes and Noble
Full Text:Click here
Location: ONLINE

Cover
Image
Call number:SPRINGER-2016-9783662493496:ONLINE Show nearby items on shelf
Title:Statistics for Non-Statisticians
Author(s): Birger Stjernholm Madsen
Date:2016
Edition:2nd ed. 2016
Size:1 online resource (44 p.)
Note:10.1007/978-3-662-49349-6
Contents:Preface -- 1 Data Collection -- 2 Presentation of Data -- 3 Description of Data -- 4 The Normal Distribution -- 5 Analysis of Qualitative Data -- 6 Error Sources and Planning -- 7 Assessment of Relationship -- 8 Comparing Two Groups -- 9 Appendices -- Index
ISBN:9783662493496
Series:eBooks
Series:SpringerLink (Online service)
Series:Springer eBooks
Keywords: Statistics , Statistics , Statistics for Business/Economics/Mathematical Finance/Insurance , Statistics for Social Science, Behavorial Science, Education, Public Policy, and , Statistical Theory and Methods
Availability:Click here to see Library holdings or inquire at Circ Desk (x3401)
Click to reserve this book Be sure to include your ID please.
More info:Amazon.com
More info: Barnes and Noble
Full Text:Click here
Location: ONLINE

Cover
Image
Call number:SPRINGER-2016-9783319318226:ONLINE Show nearby items on shelf
Title:Seasonal Adjustment Methods and Real Time Trend-Cycle Estimation
Author(s): Estela Bee Dagum
Date:2016
Size:1 online resource (10 p.)
Note:10.1007/978-3-319-31822-6
Contents:Introduction -- Time Series Components -- Part I: Seasonal Adjustment Methods -- Seasonal Adjustment: Meaning, Purpose and Methods -- Linear Filters Seasonal Adjustment Methods: Census Method II and its Variants -- Seasonal Adjustment Based on ARIM A Decomposition: TRAMO-SEATS -- Seasonal Adjustment Based on Structural Time Series Models -- Part II: Trend-Cycle Estimation -- Trend-Cycle Estimation -- Further Developments on the Henderson Trend-Cycle Filter -- A Unified View of Trend-Cycle Predictors in Reproducing Kernel Hilbert Spaces (RKHS) -- Real Time Trend-Cycle Prediction -- The Effect of Seasonal Adjustment on Real-Time Trend-Cycle Prediction -- Glossary
ISBN:9783319318226
Series:eBooks
Series:SpringerLink (Online service)
Series:Springer eBooks
Keywords: Statistics , Probabilities , Econometrics , Macroeconomics , Statistics , Statistics for Business/Economics/Mathematical Finance/Insurance , Statistical Theory and Methods , Statistics for Social Science, Behavorial Science, Education, Public Policy, and , Macroeconomics/Monetary Economics//Financial Economics , Probability Theory and Stochastic Processes , Econometrics
Availability:Click here to see Library holdings or inquire at Circ Desk (x3401)
Click to reserve this book Be sure to include your ID please.
More info:Amazon.com
More info: Barnes and Noble
Full Text:Click here
Location: ONLINE

Cover
Image
Call number:SPRINGER-2016-9783319272740:ONLINE Show nearby items on shelf
Title:Topics in Theoretical and Applied Statistics
Author(s):
Date:2016
Size:1 online resource (18 p.)
Note:10.1007/978-3-319-27274-0
Contents:Part I Statistical Theory and Methods -- Part II Data Mining and Multivariate Data Analysis -- Part III Sampling and Estimation Methods -- Part IV Social Statistics, Demography and Health Data -- Part V Economic Statistics and Econometrics.
ISBN:9783319272740
Series:eBooks
Series:SpringerLink (Online service)
Series:Springer eBooks
Keywords: Statistics , Demography , Statistics , Statistical Theory and Methods , Statistics for Business/Economics/Mathematical Finance/Insurance , Statistics for Social Science, Behavorial Science, Education, Public Policy, and , Demography
Availability:Click here to see Library holdings or inquire at Circ Desk (x3401)
Click to reserve this book Be sure to include your ID please.
More info:Amazon.com
More info: Barnes and Noble
Full Text:Click here
Location: ONLINE

Cover
Image
Call number:SPRINGER-2013-9783034805452:ONLINE Show nearby items on shelf
Title:Seminar on Stochastic Analysis, Random Fields and Applications VII [electronic resource] : Centro Stefano Franscini, Ascona, May 2011
Author(s): Robert C Dalang
Marco Dozzi
Francesco Russo
Date:2013
Publisher:Basel : Springer Basel : Imprint: Birkhuser
Size:1 online resource
Note:Springer e-book platform
Note:Springer 2013 e-book collections
Note:This book presents refereed research or review articles presented at the 7th Seminar on Stochastic Analysis, Random Fields and Applications, which was held at the Centro Stefano Franscini (Monte Verit) in Ascona, Switzerland,in May 2011. The seminar mainly focused on: stochastic (partial) differential equations, especially with regard to jump processes, construction of solutions and approximations Malliavin calculus and Stein methods, and othertechniques in stochastic analysis, especially chaos rep resentations and convergence, and applications to models of interacting particle systems stochastic methods in financial models, especially models for power markets or for riskanalysis, empirical estimation and approximation, stochastic control and optim al pricing. The notes of the public lecture held by Nicolas Bouleau on the fundamental question of whether there can be an excessive mathematization of theworld in an economic context are also included. The book will be a valuable resource for researchers working in stochastic analysis and for professionals interested in stochastic methods in finance. Contributors: R. Balan F.E. Benth F.Biagini N. Bouleau S. Cawston C. Ceci R. Cogo G. Di Nunno R. Eden H. Eyjolfsson B. Ferrario D. Filipovic A. Gombani I. G yngy B. Jourdain A. Kohatsu-Higa T. Lim V. Ly Vath V. Mandrekar C. Marinelli L.M. Morato H.-L. Ngo I. Nourdin G.Peccati B. Rdiger W.J. Runggaldier J.-M. Sahut M. Sbai S. Scotti S. Sjursen R. Speicher S.S. Sritharan W. Stannat P.R. Stinga S. Tappe S. Ugoli ni A.R.L. Valdez T. Vargiolu F. Viens L. Vostrikova M. Xu
Note:Springer eBooks
Contents:Foreword
Public lecture by N. Bouleau, Can there be excessive mathematization of the world?
Part I: Stochastic analysis and random fields R. Balan, Recent advances related to SPDEs with fractional noise
G. Di Nunno, S.Sjursen, On chaos representation and orthogonal polynomials for the doubly stochastic Poisson process
R. Eden, F. Viens, General upper and lower tail estimates using Malliavin calculus and Stein's equations
B. Ferrario, Uniqueness and absolute continuity for semilinear SPDE's
I. Gyngy, P.R. Stinga, Rate of convergence of Wong
Zakai approximations for SPDEs
ISBN:9783034805452
Series:e-books
Series:SpringerLink (Online service)
Series:Progress in Probability : v67
Series:Mathematics and Statistics (Springer-11649)
Keywords: Mathematics , Global analysis (Mathematics) , Differential equations, partial , Distribution (Probability theory)
Availability:Click here to see Library holdings or inquire at Circ Desk (x3401)
Click to reserve this book Be sure to include your ID please.
More info:Amazon.com
More info: Barnes and Noble
Full Text:Click here
Location: ONLINE

Cover
Image
Call number:SPRINGER-2008-9783540752653:ONLINE Show nearby items on shelf
Title:Aspects of Mathematical Finance [electronic resource]
Author(s): Marc Yor
Date:2008
Publisher:Berlin, Heidelberg : Springer Berlin Heidelberg
Size:1 online resource
Note:Springer e-book platform
Note:Springer 2013 e-book collections
Note:Considering the stupendous gain in importance, in the banking and insurance industries since the early 1990s, of mathematical methodology, especially probabilistic methodology, it was a very natural idea for the FrenchAcadmie des Sciences to propose a series of public lectures, accessible to an educated audience, to promote a wider understanding for some of the fundamental ideas, techniques and new tools of the financial industries. Theselectures were given at the Acadmie des Sciences in Paris by int ernationally renowned experts in mathematical finance, and later written up for this volume which develops, in simple yet rigorous terms, some challenging topics suchas risk measures, the notion of arbitrage, dynamic models involving fundamental stochasti c processes like Brownian motion and Lvy processes. The Ariadnes thread leads the reader from Louis Bacheliers thesis 1900 to the famousBlack-Scholes formula of 1973 and to most recent work close to Malliavins stochastic calculus of variations. The book a lso features a description of the trainings of French financial analysts which will help them to become expertsin these fast evolving mathematical techniques. The authors are: P. Barrieu, N. El Karoui, H. Fllmer, H. Geman, E. Gobet, G. Pags, W. Schacherma yer and M. Yor
Note:Springer eBooks
Contents:Introduction: Some Aspects of Financial Mathematics
Financial Uncertainty, Risk Measures and Robust Preferences
The Notion of Arbitrage and Free Lunch in Mathematical Finance
Dynamic Financial Risk Management
Stochastic Clock and Financial Markets
Options and Partial Differential Equations
Mathematics and Finance
ISBN:9783540752653
Series:e-books
Series:SpringerLink (Online service)
Series:Mathematics and Statistics (Springer-11649)
Keywords: Mathematics , Finance
Availability:Click here to see Library holdings or inquire at Circ Desk (x3401)
Click to reserve this book Be sure to include your ID please.
More info:Amazon.com
More info: Barnes and Noble
Full Text:Click here
Location: ONLINE

Cover
Image
Call number:SPRINGER-2007-9780387498966:ONLINE Show nearby items on shelf
Title:Approval Voting [electronic resource]
Author(s): Steven J Brams
Peter C Fishburn
Date:2007
Edition:Second Edition
Publisher:New York, NY : Springer New York
Size:1 online resource
Note:Springer e-book platform
Note:Springer 2013 e-book collections
Note:Approval Voting proposes a compelling way to elect some 500,000 officials in public elections. Under this system voters may vote for, or approve of, as many candidates as they like in multicandidate elections. Among the manybenefits of approval votin g are its propensity to elect the majority candidate (rather than the strongest minority candidate, as often occurs under plurality voting), its relative invulnerability to insincere or strategic voting,andby offering voters the opportunity to influence e lection outcomes more equitablya probable increase in voter turnout. Since the publication of the first edition of this book, its arguments in favor of an election reformpractically unknown in 1983 have stood the test of time. Perhaps the proof of the pud ding lies in the adoption of approval voting by about a dozen professional societiesseveral with tens of thousands of membersand their generallyfavorable experience with it. After a generation of discussion and debate on the subject, the authors remain co nvinced that Approval Voting is as relevant today as it was when rigorous analysis and systematic empirical research on thiselection reform began more than 30 years ago
Note:Springer eBooks
Contents:Introduction: Overview of the Problem and Its Solution
Sincerity and Strategy
Proofness: Which System Is Most Honest?
The Condorcet Criterion: Which System Best Finds the Majority Candidate?
The Reconstruction of an Election under Alternative Rules
Power and Equity: Which System Is Fairest?
Deducing Condorcet Candidates from Election Data
Polls and the Problem of Strategic Information in Elections
Recent Empirical Examples and Theoretical Extensions
Deducing Preferences and Choices in the 1980 Presidential Election
Epilogue
ISBN:9780387498966
Series:e-books
Series:SpringerLink (Online service)
Series:Mathematics and Statistics (Springer-11649)
Keywords: Mathematics , Economics , Finance , Political science
Availability:Click here to see Library holdings or inquire at Circ Desk (x3401)
Click to reserve this book Be sure to include your ID please.
More info:Amazon.com
More info: Barnes and Noble
Full Text:Click here
Location: ONLINE

Cover
Image
Call number:SPRINGER-2004-9783662048214:ONLINE Show nearby items on shelf
Title:Credit Risk: Modeling, Valuation and Hedging
Author(s): Tomasz R Bielecki
Date:2004
Size:1 online resource (501 p.)
Note:10.1007/978-3-662-04821-4
Contents:1. Introduction to Credit Risk -- 2. Corporate Debt -- 3. First-Passage-Time Models -- 4. Hazard Function of a Random Time -- 5. Hazard Process of a Random Time -- 6. Martingale Hazard Process -- 7. Case of Several Random Times -- 8.
Intensity-Based Valuation of Defaultable Claims -- 9. Conditionally Independent Defaults -- 10. Dependent Defaults -- 11. Markov Chains -- 12. Markovian Models of Credit Migrations -- 13. Heath-Jarrow-Morton Type Models -- 14.
Defaultable Market Rates -- 15. Modeling of Market Rates -- References -- Basic Notation
ISBN:9783662048214
Series:eBooks
Series:SpringerLink (Online service)
Series:Springer eBooks
Keywords: Economics, Mathematical , Probabilities , Public finance , Economics , Public Economics , Quantitative Finance , Probability Theory and Stochastic Processes
Availability:Click here to see Library holdings or inquire at Circ Desk (x3401)
Click to reserve this book Be sure to include your ID please.
More info:Amazon.com
More info: Barnes and Noble
Full Text:Click here
Location: ONLINE

Cover
Image
Call number:SPRINGER-2004-9783540446446:ONLINE Show nearby items on shelf
Title:Stochastic Methods in Finance Lectures given at the C.I.M.E.-E.M.S. Summer School held in Bressanone/Brixen, Italy, July 6-12, 2003
Author(s): Kerry Back
Date:2004
Size:1 online resource (312 p.)
Note:10.1007/b100122
Contents:Preface -- Kerry Back: Incomplete and Asymmetric Information in Asset Pricing Theory -- Tomasz R. Bielecki, Monique Jeanblanc, Marek Rutkowski: Modeling and Valuation of Credit Risk -- Christian Hipp: Stochastic Control with
Application in Insurance -- Shige Peng: Nonlinear Expectations, Nonlinear Evaluations and Risk Measures -- Walter Schachermayer: Utility Maximisation in Incomplete Markets
ISBN:9783540446446
Series:eBooks
Series:SpringerLink (Online service)
Series:Springer eBooks
Series:Lecture Notes in Mathematics, Fondazione C.I.M.E., Firenze: 1856
Keywords: Mathematics , Game theory , Economics, Mathematical , System theory , Probabilities , Public finance , Mathematics , Probability Theory and Stochastic Processes , Public Economics , Quantitative Finance , Game Theory, Economics, Social and Behav. Sciences , Systems Theory, Control
Availability:Click here to see Library holdings or inquire at Circ Desk (x3401)
Click to reserve this book Be sure to include your ID please.
More info:Amazon.com
More info: Barnes and Noble
Full Text:Click here
Location: ONLINE

Cover
Image
Call number:SPRINGER-2004-9783540246978:ONLINE Show nearby items on shelf
Title:Asset Pricing Modeling and Estimation
Author(s): B. Philipp Kellerhals
Date:2004
Edition:Second Edition
Size:1 online resource (243 p.)
Note:10.1007/978-3-540-24697-8
Contents:I Asset Pricing Framework -- 1 Financial Modeling -- 2 Estimation Principles -- II Pricing Equities -- 3 Introduction and Survey -- 4 Valuation Model -- 5 First Empirical Results -- 6 Implications for Investment Strategies -- 7
Summary and Conclusions -- III Pricing Fixed-Income Securites -- 8 Introduction and Survey -- 9 Term Structure Model -- 10 Initial Characteristic Results -- 11 Risk Management and Derivatives Pricing -- 12 Calibration to Standard
Instruments -- 13 Summary and Conclusions -- IV Pricing Electricity Forwards -- 14 Introduction and Survey -- 15 Electricity Pricing Model -- 16 Empirical Inference -- 17 Summary and Conclusions -- List of Symbols and Notation -- List
of Tables -- List of Figures -- References
ISBN:9783540246978
Series:eBooks
Series:SpringerLink (Online service)
Series:Springer eBooks
Keywords: Finance , Economics, Mathematical , Econometrics , Public finance , Finance , Finance, general , Public Economics , Quantitative Finance , Econometrics
Availability:Click here to see Library holdings or inquire at Circ Desk (x3401)
Click to reserve this book Be sure to include your ID please.
More info:Amazon.com
More info: Barnes and Noble
Full Text:Click here
Location: ONLINE

Cover
Image
Call number:SPRINGER-2004-9783540246909:ONLINE Show nearby items on shelf
Title:A Game Theory Analysis of Options Corporate Finance and Financial Intermediation in Continuous Time
Author(s): Alexandre Ziegler
Date:2004
Edition:Second Edition
Size:1 online resource (176 p.)
Note:10.1007/978-3-540-24690-9
Contents:1 Methodological Issues -- 1.1 Introduction -- 1.2 Game Theory Basics: Backward Induction and Subgame Perfection -- 1.3 Option Pricing Basics: The General Contingent Claim Equation -- 1.4 The Method of Game Theory Analysis of Options
-- 1.5 When is the Method Appropriate? -- 1.6 What Kind of Problems is the Method Particularly Suited for? -- 1.7 An Example: Determining the Price of a Perpetual Put Option -- 1.8 Outline of the Book -- 2 Credit and Collateral -- 2.1
Introduction -- 2.2 The Risk-Shifting Problem -- 2.3 The Observability Problem -- 2.4 Conclusion -- 3 Endogenous Bankruptcy and Capital Structure -- 3.1 Introduction -- 3.2 The Model -- 3.3 The Value of the Firm and its Securities --
3.4 The Effect of Capital Structure on the Firm’s Bankruptcy Decision -- 3.5 The Investment Decision -- 3.6 The Financing Decision -- 3.7 An Incentive Contract -- 3.8 The Impact of Payouts -- 3.9 Conclusion -- 4 Junior Debt -- 4.1
Introduction -- 4.2 The Model -- 4.3 The Value of the Firm and its Securities -- 4.4 The Equity Holders’ Optimal Bankruptcy Choice -- 4.5 The Firm’s Decision to Issue Junior Debt -- 4.6 The Influence of Junior Debt on the Value of
Senior Debt -- 4.7 Conclusion -- 5 Bank Runs -- 5.1 Introduction -- 5.2 The Model -- 5.3 The Depositors’ Run Decision -- 5.4 Valuing the Bank’s Equity -- 5.5 The Shareholders’ Recapitalization Decision -- 5.6 The Bank’s Investment
Incentives when Bank Runs are Possible -- 5.7 The Bank’s Funding Decision -- 5.8 Determining the Equilibrium Deposit Spread -- 5.9 Conclusion -- 6 Deposit Insurance -- 6.1 Introduction -- 6.2 The Model -- 6.3 Valuing Deposit Insurance,
Bank Equity and Social Welfare -- 6.4 The Guarantor’s Liquidation Strategy and Social Welfare -- 6.5 The Incentive Effects of Deposit Insurance -- 6.6 The Impact of Deposit Insurance on the Equilibrium Deposit Spread -- 6.7 Deposit
Insurance with Liquidation Delays -- 6.8 Deposit Insurance with Unobservable Asset Value -- 6.9 Conclusion -- 7 Summary and Conclusion -- References -- List of Figures -- List of Symbols
ISBN:9783540246909
Series:eBooks
Series:SpringerLink (Online service)
Series:Springer eBooks
Keywords: Finance , Game theory , Economics, Mathematical , Economic theory , Public finance , Economics , Public Economics , Finance, general , Game Theory, Economics, Social and Behav. Sciences , Quantitative Finance , Economic Theory/Quantitative Economics/Mathematical Methods
Availability:Click here to see Library holdings or inquire at Circ Desk (x3401)
Click to reserve this book Be sure to include your ID please.
More info:Amazon.com
More info: Barnes and Noble
Full Text:Click here
Location: ONLINE

Cover
Image
Call number:SPRINGER-2003-9783540248316:ONLINE Show nearby items on shelf
Title:Weak Convergence of Financial Markets
Author(s): Jean-Luc Prigent
Date:2003
Size:1 online resource (424 p.)
Note:10.1007/978-3-540-24831-6
Contents:Weack Convergence of Stochastic Processes: Basic Properties of Stochastic Processes -- Weak Convergence -- Weak Convergence to a Semimartingale -- Weak Convergence of Stochastic Integrals -- Limit Theorems, Density Processes and
Contiguity -- Weak Convergence of Financial Markets: Convergence of Optimal Consumption-Portfolio Strategies -- Convergence of Option Prices -- Convergence of Hedging Strategies -- The Basic Models of Approximations: General Remarks --
Lattice -- Alternative Approximations -- Approximations of Term Structure Models -- Index
ISBN:9783540248316
Series:eBooks
Series:SpringerLink (Online service)
Series:Springer eBooks
Keywords: Finance , Economics, Mathematical , Public finance , Economics , Public Economics , Finance, general , Quantitative Finance
Availability:Click here to see Library holdings or inquire at Circ Desk (x3401)
Click to reserve this book Be sure to include your ID please.
More info:Amazon.com
More info: Barnes and Noble
Full Text:Click here
Location: ONLINE

Cover
Image
Call number:SPRINGER-2003-9781852338466:ONLINE Show nearby items on shelf
Title:Mathematics for Finance An Introduction to Financial Engineering
Author(s): Marek Capiński
Date:2003
Size:1 online resource (314 p.)
Note:10.1007/b97511
Contents:Introduction: A Simple Market Model -- Risk-Free Assets -- Risky Assets -- Discrete Time Market Models -- Portfolio Management -- Forward and Futures Contracts -- Options: General Properties -- Option Pricing -- Financial Engineering
-- Variable Interest Rates -- Stochastic Interest Rates
ISBN:9781852338466
Series:eBooks
Series:SpringerLink (Online service)
Series:Springer eBooks
Keywords: Finance , Economics, Mathematical , Public finance , Economics , Public Economics , Quantitative Finance , Finance, general
Availability:Click here to see Library holdings or inquire at Circ Desk (x3401)
Click to reserve this book Be sure to include your ID please.
More info:Amazon.com
More info: Barnes and Noble
Full Text:Click here
Location: ONLINE

Cover
Image
Call number:SPRINGER-2003-9781447100898:ONLINE Show nearby items on shelf
Title:Financial Markets Theory Equilibrium, Efficiency and Information
Author(s): Emilio Barucci
Date:2003
Size:1 online resource (467 p.)
Note:10.1007/978-1-4471-0089-8
Contents:1 Prerequisites -- 1.1 Choices under Certainty -- 1.2 General Equilibrium Theory -- 1.3 Pareto Optimality -- 2 Choices under Risk -- 2.1 Expected Utility Theory -- 2.2 Risk Aversion -- 2.3 Portfolio Problem -- 2.4 Insurance Demand and
Prudence -- 2.5 Notes, References and Exercises -- 3 Stochastic Dominance, Mutual Funds Separation and Portfolio Frontier -- 3.1 Stochastic Dominance -- 3.2 Mean-Variance Analysis -- 3.3 Portfolio Frontier (risky assets) -- 3.4
Portfolio Frontier (risky assets and a risk free asset) -- 3.5 Mutual Funds Separation -- 3.6 Notes, References and Exercises -- 4 General Equilibrium Theory and Risk Exchange -- 4.1 Risk Sharing and Pareto Optimality -- 4.2 Asset
Markets -- 4.3 Intertemporal Consumption -- 4.4 The Fundamental Asset Pricing Theorem I -- 4.5 Notes, References and Exercises -- 5 Risk Premium: Capital Asset Pricing Model and Asset Pricing Theory -- 5.1 Capital Asset Pricing Model
(CAPM) -- 5.2 Empirical Tests of the CAPM -- 5.3 Arbitrage Pricing Theory (APT) -- 5.4 Empirical Tests of the APT -- 5.5 Notes, References and Exercises -- 6 Multiperiod Market Models -- 6.1 Portfolio Choice, Consumption and
Equilibrium -- 6.2 The Fundamental Asset Pricing Theorem II -- 6.3 Risk Premium and Factor Models -- 6.4 The No Arbitrage Fundamental Equation and Bubbles -- 6.5 Empirical Tests: Price-Dividend Process -- 6.6 Empirical Tests: CCAPM,
ICAPM and Risk Premium -- 6.7 Notes, References and Exercises -- 7 Information and Financial Markets -- 7.1 The Role of Information in Financial Markets -- 7.2 On the Possibility of Efficient Markets -- 7.3 On the Impossibility of
Efficient Markets -- 7.4 Multiperiod Models -- 7.5 Empirical Analysis -- 7.6 Notes, References and Exercises -- 8 Uncertainty, Rationality and Heterogeneity -- 8.1 Uncertainty, Risk and Probability -- 8.2 On Expected Utility Theory --
8.3 Heterogeneous Agents and Substantial Rationality -- 8.4 Bounded Rationality, Incomplete Information and Learning -- 8.5 Imperfect and Incomplete Markets -- 9 Financial Markets Microstructure -- 9.1 The Role of Information under
non-Perfect Competition -- 9.2 Order Driven Markets -- 9.3 Quote Driven Markets -- 9.4 Multiperiod Market Models -- 10 Corporate Finance -- 10.1 Modigliani-Miller Theorem -- 10.2 Asymmetric Information -- 10.3 Agency Models -- 11
Intermediation and Regulation -- 11.1 Institutional Investors, Intermediation and Financial Markets -- 11.2 Market Design -- 11.3 Market Abuse: Insider Trading and Market Manipulation -- References
ISBN:9781447100898
Series:eBooks
Series:SpringerLink (Online service)
Series:Springer eBooks
Keywords: Economics, Mathematical , Economic theory , Public finance , Economics , Economic Theory/Quantitative Economics/Mathematical Methods , Public Economics , Quantitative Finance
Availability:Click here to see Library holdings or inquire at Circ Desk (x3401)
Click to reserve this book Be sure to include your ID please.
More info:Amazon.com
More info: Barnes and Noble
Full Text:Click here
Location: ONLINE

Cover
Image
Call number:SPRINGER-2003-9780387217864:ONLINE Show nearby items on shelf
Title:Partial Identification of Probability Distributions
Author(s): Charles F Manski
Date:2003
Size:1 online resource (179 p.)
Note:10.1007/b97478
Contents:Introduction: Partial Identification and Credible Inference -- Missing Outcomes -- Instrumental Variables -- Conditional Prediction with Missing Data -- Contaminated Outcomes -- Regressions, Short and Long -- Response-Based Sampling
-- Analysis of Treatment Response -- Mnotone Treatment Response -- Monotone Instrumental Variables -- The Mixing Problem
ISBN:9780387217864
Series:eBooks
Series:SpringerLink (Online service)
Series:Springer eBooks
Keywords: Statistics , Econometrics , Statistics , Statistical Theory and Methods , Statistics for Business/Economics/Mathematical Finance/Insurance , Statistics for Social Science, Behavorial Science, Education, Public Policy, and , Econometrics
Availability:Click here to see Library holdings or inquire at Circ Desk (x3401)
Click to reserve this book Be sure to include your ID please.
More info:Amazon.com
More info: Barnes and Noble
Full Text:Click here
Location: ONLINE

Cover
Image
Call number:SPRINGER-2003-9780387217277:ONLINE Show nearby items on shelf
Title:Analyzing Categorical Data
Author(s): Jeffrey S Simonoff
Date:2003
Size:1 online resource (498 p.)
Note:10.1007/978-0-387-21727-7
Contents:1 Introduction -- 2 Gaussian-Based Data Analysis -- 3 Gaussian-Based Model Building -- 4 Categorical Data and Goodness-of-Fit -- 5 Regression Models for Count Data -- 6 Analyzing Two-Way Tables -- 7 Tables with More Structure -- 8
Multidimensional Contingency Tables -- 9 Regression Models for Binary Data -- 10 Regression Models for Multiple Category Response Data -- A Some Basics of Matrix Algebra -- References
ISBN:9780387217277
Series:eBooks
Series:SpringerLink (Online service)
Series:Springer eBooks
Keywords: Social sciences , Probabilities , Statistics , Social Sciences , Methodology of the Social Sciences , Probability Theory and Stochastic Processes , Statistical Theory and Methods , Statistics for Business/Economics/Mathematical Finance/Insurance , Statistics for Social Science, Behavorial Science, Education, Public Policy, and
Availability:Click here to see Library holdings or inquire at Circ Desk (x3401)
Click to reserve this book Be sure to include your ID please.
More info:Amazon.com
More info: Barnes and Noble
Full Text:Click here
Location: ONLINE

Cover
Image
Call number:SPRINGER-2003-9780387216454:ONLINE Show nearby items on shelf
Title:Survival Analysis Techniques for Censored and Truncated Data
Author(s): John P Klein
Date:2003
Edition:Second Edition
Size:1 online resource (538 p.)
Note:10.1007/b97377
Contents:Examples of Survival Data -- Basic Quantities and Models -- Censoring and Truncation -- Nonparametric Estimation of Basic Quantities for Right-Censored and Left-Truncated Data -- Estimation of Basic Quantities for Other Sampling
Schemes -- Topics in Univariate Estimation -- Hypothesis Testing -- Semiparametric Proportional Hazards Regression with Fixed Covariates -- Refinements of the Semiparametric Proportional Hazards Model -- Additive Hazard Regression
Models -- Regression Diagnostics -- Inference for Parametric Regression Models -- Multivariate Survival Analysis
ISBN:9780387216454
Series:eBooks
Series:SpringerLink (Online service)
Series:Springer eBooks
Keywords: Medicine , Epidemiology , Probabilities , Statistics , Social sciences , Medicine & Public Health , Epidemiology , Probability Theory and Stochastic Processes , Methodology of the Social Sciences , Statistics for Life Sciences, Medicine, Health Sciences , Statistical Theory and Methods , Statistics for Business/Economics/Mathematical Finance/Insurance
Availability:Click here to see Library holdings or inquire at Circ Desk (x3401)
Click to reserve this book Be sure to include your ID please.
More info:Amazon.com
More info: Barnes and Noble
Full Text:Click here
Location: ONLINE

Cover
Image
Call number:SPRINGER-2003-9780387216171:ONLINE Show nearby items on shelf
Title:Monte Carlo Methods in Financial Engineering
Author(s): Paul Glasserman
Date:2003
Size:1 online resource (596 p.)
Note:10.1007/978-0-387-21617-1
Contents:1 Foundations -- 2 Generating Random Numbers and Random Variables -- 3 Generating Sample Paths -- 4 Variance Reduction Techniques -- 5 Quasi-Monte Carlo -- 6 Discretization Methods -- 7 Estimating Sensitivities -- 8 Pricing American
Options -- 9 Applications in Risk Management -- A Appendix: Convergence and Confidence Intervals -- A.1 Convergence Concepts -- A.2 Central Limit Theorem and Confidence Intervals -- B Appendix: Results from Stochastic Calculus -- B.1
Itô’s Formula -- B.2 Stochastic Differential Equations -- B.3 Martingales -- B.4 Change of Measure -- C Appendix: The Term Structure of Interest Rates -- C.1 Term Structure Terminology -- C.2 Interest Rate Derivatives -- References
ISBN:9780387216171
Series:eBooks
Series:SpringerLink (Online service)
Series:Springer eBooks
Series:Stochastic Modelling and Applied Probability: 53
Keywords: Mathematics , Applied mathematics , Engineering mathematics , Economics, Mathematical , Probabilities , Statistics , Economic theory , Public finance , Mathematics , Applications of Mathematics , Public Economics , Probability Theory and Stochastic Processes , Quantitative Finance , Statistical Theory and Methods , Economic Theory/Quantitative Economics/Mathematical Methods
Availability:Click here to see Library holdings or inquire at Circ Desk (x3401)
Click to reserve this book Be sure to include your ID please.
More info:Amazon.com
More info: Barnes and Noble
Full Text:Click here
Location: ONLINE

Cover
Image
Call number:SPRINGER-2002-9783662047842:ONLINE Show nearby items on shelf
Title:Progress in Industrial Mathematics at ECMI 2000
Author(s):
Date:2002
Size:1 online resource (656 p.)
Note:10.1007/978-3-662-04784-2
Contents:Plenary talks -- Minisymposia: Finance Fuel pipelines Image processing: linear and nonlinear techniques Information and communication technologies Kinetic transport in semiconductor devices Liquid/solid phase transictions and
interfaces Mathematical problems in glass industry Microelectronics Models of highway traffic Models from the texile industry Numerical methods for hyperbolic and kinetic equations Problems of charge transport in semiconductor
nanostructures Polymers Some applications of fluid and gas dynamics Teaching of industrial mathematics at ECMI centers -- Contributed talks
ISBN:9783662047842
Series:eBooks
Series:SpringerLink (Online service)
Series:Springer eBooks
Series:Mathematics in Industry, The European Consortium for Mathematics in Industry: 1
Keywords: Business , Operations research , Decision making , Computer science , Economics, Mathematical , Computer mathematics , Computational intelligence , Public finance , Business and Management , Operation Research/Decision Theory , Mathematics of Computing , Public Economics , Computational Mathematics and Numerical Analysis , Quantitative Finance , Computational Intelligence
Availability:Click here to see Library holdings or inquire at Circ Desk (x3401)
Click to reserve this book Be sure to include your ID please.
More info:Amazon.com
More info: Barnes and Noble
Full Text:Click here
Location: ONLINE

Cover
Image
Call number:SPRINGER-2002-9783642562570:ONLINE Show nearby items on shelf
Title:The Science of Disasters Climate Disruptions, Heart Attacks, and Market Crashes
Author(s): Armin Bunde
Date:2002
Size:1 online resource (453 p.)
Note:10.1007/978-3-642-56257-0
Contents:I. General -- 1. Entropy, Complexity, Predictability, and Data Analysis of Time Series and Letter Sequences -- 2. Wavelet Based Multifractal Formalism: Applications to DNA Sequences, Satellite Images of the Cloud Structure, and Stock
Market Data -- II. Climate Systems -- 3. Space-Time Variability of the European Climate -- 4. Is Climate Predictable? -- 5. Atmospheric Persistence Analysis: Novel Approaches and Applications -- 6. Assessment and Management of Critical
Events: The Breakdown of Marine Fisheries and The North Atlantic Thermohaline Circulation -- III. Biodynamics -- 7. Fractal and Multifractal Approaches in Physiology -- 8. Physiological Relevance of Scaling of Heart Phenomena -- 9.
Local Scaling Properties for Diagnostic Purposes -- 10. Unstable Periodic Orbits and Stochastic Synchronization in Sensory Biology -- 11. Crowd Disasters and Simulation of Panic Situations -- IV. Nonlinear Economics -- 12.
Investigations of Financial Markets Using Statistical Physics Methods -- 13. Market Fluctuations I: Scaling, Multiscaling, and Their Possible Origins -- 14. Market Fluctuations II: Multiplicative and Percolation Models, Size Effects,
and Predictions
ISBN:9783642562570
Series:eBooks
Series:SpringerLink (Online service)
Series:Springer eBooks
Keywords: Physics , Atmospheric sciences , Medicine , Statistical physics , Dynamical systems , Sociophysics , Econophysics , Statistics , Environmental sciences , Physics , Socio- and Econophysics, Population and Evolutionary Models , Statistical Physics, Dynamical Systems and Complexity , Atmospheric Sciences , Medicine/Public Health, general , Math. Appl. in Environmental Science , Statistics for Business/Economics/Mathematical Finance/Insurance
Availability:Click here to see Library holdings or inquire at Circ Desk (x3401)
Click to reserve this book Be sure to include your ID please.
More info:Amazon.com
More info: Barnes and Noble
Full Text:Click here
Location: ONLINE

Cover
Image
Call number:SPRINGER-2002-9781475736922:ONLINE Show nearby items on shelf
Title:Observational Studies
Author(s): Paul R Rosenbaum
Date:2002
Edition:Second Edition
Size:1 online resource (377 p.)
Note:10.1007/978-1-4757-3692-2
Contents:1 Observational Studies -- 2 Randomized Experiments -- 3 Overt Bias in Observational Studies -- 4 Sensitivity to Hidden Bias -- 5 Models for Treatment Effects -- 6 Known Effects -- 7 Multiple Reference Groups in Case-Referent Studies
-- 8 Multiple Control Groups -- 9 Coherence and Focused Hypotheses -- 10 Constructing Matched Sets and Strata -- 11 Planning an Observational Study -- 12 Some Strategic Issues
ISBN:9781475736922
Series:eBooks
Series:SpringerLink (Online service)
Series:Springer eBooks
Keywords: Statistics , Statistics , Statistical Theory and Methods , Statistics for Life Sciences, Medicine, Health Sciences , Statistics for Social Science, Behavorial Science, Education, Public Policy, and , Statistics for Business/Economics/Mathematical Finance/Insurance
Availability:Click here to see Library holdings or inquire at Circ Desk (x3401)
Click to reserve this book Be sure to include your ID please.
More info:Amazon.com
More info: Barnes and Noble
Full Text:Click here
Location: ONLINE

Cover
Image
Call number:SPRINGER-2002-9781475736632:ONLINE Show nearby items on shelf
Title:Statistical Consulting
Author(s): Javier Cabrera
Date:2002
Size:1 online resource (390 p.)
Note:10.1007/978-1-4757-3663-2
Contents:I The Methodology of Statistical Consulting -- 1 Introduction to Statistical Consulting -- 2 Communication -- 3 Methodological Aspects -- 4 A Consulting Project from A to Z -- II Case Studies -- 5 Introduction to the Case Studies -- 6
Case Studies from Group I -- 7 Case Studies from Group II -- 8 Case Studies from Group III -- 9 Additional Case Studies -- A Resources -- A.1 References -- A.2 Datasets for Case Studies in Part II -- A.3 Statistical Consulting Course
-- A.3.1 Course Description -- A.3.2 List of Topics by Week -- A.3.3 Reference List -- B Statistical Software -- B.1 SAS -- B.1.1 The SAS Setup -- B.1.2 Details on the DATA Step -- B.1.3 SAS Procedures -- B.1.4 Further Details of SAS
-- B.2 S-PLUS -- B.2.1 S-PLUS Preliminaries -- B.2.2 The S-PLUS Setup -- B.2.3 Basic S-PLUS Commands -- B.2.4 Efficient Use of S-PLUS -- B.2.5 S-PLUS Statistical Procedures -- B.2.6 S-PLUS Glossary -- C Statistical Addendum -- C.1
Univariate Distributions -- C.2 Multivariate Distributions -- C.3 Statistical Tests -- C.4 Sample Size -- References
ISBN:9781475736632
Series:eBooks
Series:SpringerLink (Online service)
Series:Springer eBooks
Keywords: Statistics , Statistics , Statistical Theory and Methods , Statistics for Life Sciences, Medicine, Health Sciences , Statistics for Business/Economics/Mathematical Finance/Insurance , Statistics for Engineering, Physics, Computer Science, Chemistry and Earth Scien , Statistics for Social Science, Behavorial Science, Education, Public Policy, and
Availability:Click here to see Library holdings or inquire at Circ Desk (x3401)
Click to reserve this book Be sure to include your ID please.
More info:Amazon.com
More info: Barnes and Noble
Full Text:Click here
Location: ONLINE

Cover
Image
Call number:SPRINGER-2002-9780387227719:ONLINE Show nearby items on shelf
Title:Applied Multivariate Analysis
Author(s):
Date:2002
Size:1 online resource (695 p.)
Note:10.1007/b98963
Contents:Vectors and Matrices -- Multivariate Distributions and the Linear Model -- Multivariate Regression Models -- Seemingly Unrelated Regression Models -- Multivariate Random and Mixed Models -- Discriminant and Classification Analysis --
Principal Component, Canonical Correlation, and Exploratory Factor Analysis -- Cluster Analysis and Multidimensional Scaling -- Structural Equation Models
ISBN:9780387227719
Series:eBooks
Series:SpringerLink (Online service)
Series:Springer eBooks
Keywords: Mathematics , Mathematical analysis , Analysis (Mathematics) , Potential theory (Mathematics) , Probabilities , Statistics , Mathematics , Analysis , Potential Theory , Probability Theory and Stochastic Processes , Statistical Theory and Methods , Statistics for Social Science, Behavorial Science, Education, Public Policy, and , Statistics for Business/Economics/Mathematical Finance/Insurance
Availability:Click here to see Library holdings or inquire at Circ Desk (x3401)
Click to reserve this book Be sure to include your ID please.
More info:Amazon.com
More info: Barnes and Noble
Full Text:Click here
Location: ONLINE

Cover
Image
Call number:SPRINGER-2001-9781475735222:ONLINE Show nearby items on shelf
Title:Fundamentals of Modern Statistical Methods Substantially Improving Power and Accuracy
Author(s): Rand R Wilcox
Date:2001
Size:1 online resource (258 p.)
Note:10.1007/978-1-4757-3522-2
Contents:I -- 1 Introduction -- 2 Getting Started -- 3 The Normal Curve and Outlier Detection -- 4 Accuracy and Inference -- 5 Hypothesis Testing and Small Sample Sizes -- 6 The Bootstrap -- 7 A Fundamental Problem -- II -- 8 Robust Measures
of Location -- 9 Inferences About Robust Measures of Location -- 10 Measures of Association -- 11 Robust Regression -- 12 Alternate Strategies -- References
ISBN:9781475735222
Series:eBooks
Series:SpringerLink (Online service)
Series:Springer eBooks
Keywords: Mathematics , Probabilities , Statistics , Mathematics , Probability Theory and Stochastic Processes , Statistical Theory and Methods , Statistics for Social Science, Behavorial Science, Education, Public Policy, and , Statistics for Business/Economics/Mathematical Finance/Insurance , Statistics for Life Sciences, Medicine, Health Sciences
Availability:Click here to see Library holdings or inquire at Circ Desk (x3401)
Click to reserve this book Be sure to include your ID please.
More info:Amazon.com
More info: Barnes and Noble
Full Text:Click here
Location: ONLINE

Cover
Image
Call number:SPRINGER-1999-9781475730906:ONLINE Show nearby items on shelf
Title:Using SPSS for Windows Data Analysis and Graphics
Author(s): Kristin E Voelkl
Date:1999
Size:1 online resource (228 p.)
Note:10.1007/978-1-4757-3090-6
Contents:1—The Nature of SPSS -- 2—Organization of Data -- 3—Measures of Location -- 4—Measures of Variability -- 5—Summarizing Multivariate Data: Association Between Numerical Variables -- 6—Summarizing Multivariate Data: Association Between
Categorical Variables -- 7—Basic Ideas of Probability -- 8—Probability Distributions -- 9—Sampling Distributions -- 10—Using a Sample to Estimate Characteristics of One Population -- 11—Answering Questions About Population
Characteristics -- 12—Differences Between Two Populations -- 13—Variability in One Population and in Two Populations -- 14—Inference on Categorical Data -- 15—Regression Analysis -- 16—Comparisons of Several Populations --
Appendix—Data Files
ISBN:9781475730906
Series:eBooks
Series:SpringerLink (Online service)
Series:Springer eBooks
Keywords: Statistics , Statistics , Statistics and Computing/Statistics Programs , Statistics for Social Science, Behavorial Science, Education, Public Policy, and , Statistics for Business/Economics/Mathematical Finance/Insurance
Availability:Click here to see Library holdings or inquire at Circ Desk (x3401)
Click to reserve this book Be sure to include your ID please.
More info:Amazon.com
More info: Barnes and Noble
Full Text:Click here
Location: ONLINE

Cover
Image
Call number:SPRINGER-1998-9781461562290:ONLINE Show nearby items on shelf
Title:Globalization of Labour Markets Challenges, Adjustment and Policy Response in the EU and LDCs
Author(s):
Date:1998
Size:1 online resource (336 p.)
Note:10.1007/978-1-4615-6229-0
Contents:One: Overview -- 1 Introduction and summary -- Two: Theoretical Issues -- 2 Trade and wages: a malign relationship? -- Discussion -- 3 Looking South and East: labour market implications of migration in Europe and LDCs -- Discussion --
4 Locational innovation in LDC investment and its implications for migration: foreign direct investment in and by LDCs -- Discussion -- Three: Exporting Goods or Labour -- 5 Exporting goods or labour: experiences of East, South and
South-East Asia -- Discussion -- 6 Trade and employment in Latin America -- Discussion -- 7 Exporting goods or labour: the experience of North and Sub-Saharan Africa -- Discussion -- Four: Policy Response -- 8 Labour in the global
economy: challenges, adjustment and policy response in the EU -- Discussion -- 9 Labour market integration and policy response in East and South-East Asia -- Discussion -- Discussion -- 10 Technological progress, innovation and
employment in Latin America: the 1990s -- Discussion
ISBN:9781461562290
Series:eBooks
Series:SpringerLink (Online service)
Series:Springer eBooks
Series:Ettore Majorana International Science Series : 13
Keywords: International economics , Public finance , Labor economics , Economics , Labor Economics , International Economics , Public Economics
Availability:Click here to see Library holdings or inquire at Circ Desk (x3401)
Click to reserve this book Be sure to include your ID please.
More info:Amazon.com
More info: Barnes and Noble
Full Text:Click here
Location: ONLINE

Cover
Image
Call number:SPRINGER-1997-9783642591235:ONLINE Show nearby items on shelf
Title:Introduction to the Statistical Analysis of Categorical Data
Author(s): Erling B Andersen
Date:1997
Size:1 online resource (265 p.)
Note:10.1007/978-3-642-59123-5
Contents:1 Introduction -- 1.1 The two-way table -- 2 Basic Theory -- 2.1 Introduction -- 2.2 Exponential families -- 2.3 Statistical inference in an exponential family -- 2.4 The binomial distribution -- 2.5 The multinomial distribution --
2.6 The Poisson distribution -- 2.7 Composite hypotheses -- 2.8 Applications to the multinomial distribution -- 2.9 Log-linear models -- 2.10 The two-way contingency table -- 2.11 The numerical solution of the likelihood equations for
the log-linear model -- 2.12 Bibliographical notes -- 2.13 Exercises -- 3 Three-way contingency tables -- 3.1 Log-linear models -- 3.2 Log-linear hypotheses -- 3.3 Estimation -- 3.4 Testing hypotheses -- 3.5 Interpretation of the
log-linear parameters -- 3.6 Choice of model -- 3.7 Detection of model deviations -- 3.8 Bibliographical notes -- 3.9 Exercises -- 4 Multi-dimensional contingency tables -- 4.1 The log-linear model -- 4.2 Classification and
interpretation of log-linear models -- 4.3 Choice of model -- 4.4 Diagnostics -- 4.5 Model search strategies -- 4.6 Bibliographical notes -- 4.7 Exercises -- 5 Incomplete Tables -- 5.1 Random and structural zeros -- 5.2 Counting the
number of degrees of freedom -- 5.3 Validity of the X2-approximation -- 5.4 Exercises -- 6 The Logit Model -- 6.1 The logit model -- 6.2 Hypothesis testing in the logit model -- 6.3 Logit models with higher order interactions -- 6.4
The logit model as a regression model -- 6.5 Bibliographical notes -- 6.6 Exercises -- 7 Logistic Regression Analysis -- 7.1 The logistic regression model -- 7.2 Estimation in the logistic regression model -- 7.3 Numerical solution of
the likelihood equations -- 7.4 Checking the fit of the model -- 7.5 Hypothesis testing -- 7.6 Diagnostics -- 7.7 Predictions -- 7.8 Dummy variables -- 7.9 Polytomous response variables -- 7.10 Bibliographical notes -- 7.11 Exercises
-- 8 Association Models -- 8.1 Introduction -- 8.2 Symmetry models -- 8.3 Marginal homogeneity -- 8.4 RC-association models -- 8.5 Correspondence analysis -- 8.6 Bibliographical notes -- 8.5 Exercises -- Appendix Solutions and output
to selected exercises -- References
ISBN:9783642591235
Series:eBooks
Series:SpringerLink (Online service)
Series:Springer eBooks
Keywords: Mathematics , Probabilities , Statistics , Economic theory , Mathematics , Probability Theory and Stochastic Processes , Statistics for Business/Economics/Mathematical Finance/Insurance , Statistics for Social Science, Behavorial Science, Education, Public Policy, and , Economic Theory/Quantitative Economics/Mathematical Methods
Availability:Click here to see Library holdings or inquire at Circ Desk (x3401)
Click to reserve this book Be sure to include your ID please.
More info:Amazon.com
More info: Barnes and Noble
Full Text:Click here
Location: ONLINE

Cover
Image
Call number:SPRINGER-1997-9783540683568:ONLINE Show nearby items on shelf
Title:Financial Mathematics Lectures given at the 3rd Session of the Centro Internazionale Matematico Estivo (C.I.M.E.) held in Bressanone, Italy, July 8–13, 1996
Author(s): Bruno Biais
Date:1997
Size:1 online resource (316 p.)
Note:10.1007/BFb0091997
Contents:Risk sharing, adverse selection and market structure -- Interest rate theory -- Optimal trading under constraints -- Non-linear pricing theory and backward stochastic differential equations -- Market imperfections, equilibrium and
arbitrage
ISBN:9783540683568
Series:eBooks
Series:SpringerLink (Online service)
Series:Springer eBooks
Series:Lecture Notes in Mathematics: 1656
Keywords: Mathematics , Business mathematics , Functional analysis , Partial differential equations , Economics, Mathematical , Probabilities , Public finance , Mathematics , Probability Theory and Stochastic Processes , Public Economics , Business Mathematics , Quantitative Finance , Partial Differential Equations , Functional Analysis
Availability:Click here to see Library holdings or inquire at Circ Desk (x3401)
Click to reserve this book Be sure to include your ID please.
More info:Amazon.com
More info: Barnes and Noble
Full Text:Click here
Location: ONLINE

Cover
Image
Call number:SPRINGER-1997-9781461206699:ONLINE Show nearby items on shelf
Title:Intelligence, Genes, and Success Scientists Respond to The Bell Curve
Author(s):
Date:1997
Size:1 online resource (376 p.)
Note:10.1007/978-1-4612-0669-9
Contents:I Overview -- 1 Reexamining The Bell Curve -- 2 A Synopsis of The Bell Curve -- II The Genetics—Intelligence Link -- 3 Of Genes and IQ -- 4 The Malleability of Intelligence Is Not Constrained by Heritability -- 5 Racial and Ethnic
Inequalities in Health: Environmental, Psychosocial, and Physiological Pathways -- III Intelligence and the Measurement of IQ -- 6 Theoretical and Technical Issues in Identifying a Factor of General Intelligence -- 7 The Concept and
Utility of Intelligence -- IV Intelligence and Success: Reanalyses of Data from the NLSY -- 8 Cognitive Ability, Wages, and Meritocracy -- 9 The Hidden Gender Restriction: The Need for Proper Controls When Testing for Racial
Discrimination -- 10 Does Staying in School Make You Smarter? The Effect of Education on IQ in The Bell Curve -- 11 Cognitive Ability, Environmental Factors, and Crime: Predicting Frequent Criminal Activity -- 12 Social Statistics and
Genuine Inquiry: Reflections on The Bell Curve -- V The Bell Curve and Public Policy -- 13 A “Head Start” in What Pursuit? IQ Versus Social Competence as the Objective of Early Intervention -- 14 Is There a Cognitive Elite in America?
-- 15 Science, Public Policy, and The Bell Curve -- Contributor Biographies -- Author Index
ISBN:9781461206699
Series:eBooks
Series:SpringerLink (Online service)
Series:Springer eBooks
Keywords: Statistics , Statistics , Statistics for Social Science, Behavorial Science, Education, Public Policy, and , Statistics for Business/Economics/Mathematical Finance/Insurance
Availability:Click here to see Library holdings or inquire at Circ Desk (x3401)
Click to reserve this book Be sure to include your ID please.
More info:Amazon.com
More info: Barnes and Noble
Full Text:Click here
Location: ONLINE

Cover
Image
Call number:SPRINGER-1995-9781461208419:ONLINE Show nearby items on shelf
Title:Control and Game-Theoretic Models of the Environment
Author(s):
Date:1995
Size:1 online resource (357 p.)
Note:10.1007/978-1-4612-0841-9
Contents:1: Models of Global Change and Sustainable Development -- Differential Game Models of Global Environmental Management -- Sustainability and the Greenhouse Effect: Robustness Analysis of the Assimilation Function -- Consumption of
Renewable Environmental Assets, International Coordination and Time Preference -- Sustainable International Agreements on Greenhouse Warming — A Game Theory Study -- The Environmental Costs of Greenhouse Gas Emissions -- 2:
Environmental Taxes and Related Issues -- Taxation and Environmental Innovation -- Environmental Quality, Public Finance and Sustainable Growth -- Environmental Pollution and Endogenous Growth: A Comparison Between Emission Taxes and
Technological Standards -- Rate-of-Return Regulation, Emission Charges and Behavior of Monopoly -- Polluter’s Capital Quality Standards and Subsidy-Tax Programs for Environmental Externalities: A Competitive Equilibrium Analysis -- 3:
Pollution, Renewable Resources and Stability -- The ESS Maximum Principle as a Tool for Modeling and Managing Biological Systems -- Pollution, Renewable Resources and Irreversibility -- The Economic Management of High Seas Fishery
Resources: Some Game Theoretic Aspects -- Pollution-Induced Business Cycles: A Game Theoretical Analysis -- Management of Effluent Discharges: A Dynamic Game Model
ISBN:9781461208419
Series:eBooks
Series:SpringerLink (Online service)
Series:Springer eBooks
Series:Annals of the International Society of Dynamic Games : 2
Keywords: Mathematics , Game theory , System theory , Mathematical models , Mathematics , Game Theory, Economics, Social and Behav. Sciences , Systems Theory, Control , Mathematical Modeling and Industrial Mathematics
Availability:Click here to see Library holdings or inquire at Circ Desk (x3401)
Click to reserve this book Be sure to include your ID please.
More info:Amazon.com
More info: Barnes and Noble
Full Text:Click here
Location: ONLINE

Cover
Image
Call number:SPRINGER-1993-9789401121842:ONLINE Show nearby items on shelf
Title:Government Risk-Bearing Proceedings of a Conference Held at the Federal Reserve Bank of Cleveland, May 1991
Author(s):
Date:1993
Size:1 online resource (182 p.)
Note:10.1007/978-94-011-2184-2
Contents:1 Institutional Control and Large-scale, Long-term Hazards -- 2 Ambiguity and Government Risk-Bearing for Low-Probability Events -- 3 Public Insurance of Private Risks: Theory and Evidence from Agriculture -- 4 Government Risk-Bearing
in the Financial Sector of a Capitalist Economy -- 5 Perspectives on the Role of Government Risk-Bearing within the Financial Sector -- 6 Government Risk-Bearing: What Works and What Doesn’t -- 7 The PBGC: A Costly Lesson in the
Economics of Federal Insurance -- 8 Recent Federal Efforts to Measure and Control Government Risk-Bearing -- 9 Information and Incentives to Improve Government Risk-Bearing
ISBN:9789401121842
Series:eBooks
Series:SpringerLink (Online service)
Series:Springer eBooks
Keywords: Mathematics , Finance , Actuarial science , Microeconomics , Environmental economics , Mathematics , Actuarial Sciences , Finance, general , Microeconomics , Environmental Economics
Availability:Click here to see Library holdings or inquire at Circ Desk (x3401)
Click to reserve this book Be sure to include your ID please.
More info:Amazon.com
More info: Barnes and Noble
Full Text:Click here
Location: ONLINE

Cover
Image
Call number:SPRINGER-1992-9781461209218:ONLINE Show nearby items on shelf
Title:Applied Multivariate Data Analysis Volume II: Categorical and Multivariate Methods
Author(s): J. D Jobson
Date:1992
Size:1 online resource (732 p.)
Note:10.1007/978-1-4612-0921-8
Contents:6 Contingency Tables -- 6.1 Multivariate Data Analysis Data Matrices and Measurement Scales -- 6.2 Two-Dimensional Contingency Tables -- 6.3 Multidimensional Contingency Tables -- 6.4 The Weighted Least Squares Approach -- Cited
Literature and References -- Exercises for Chapter 6 -- Questions for Chapter 6 -- 7 Multivariate Distributions Inference Regression and Canonical Correlation -- 7.1 Multivariate Random Variables and Samples -- 7.2 The Multivariate
Normal Distribution -- 7.3 Testing for Normality Outliers and Robust Estimation -- 7.4 Inference for the Multivariate Normal -- 7.5 Multivariate Regression and Canonical Correlation -- Cited Literature and References -- Exercises for
Chapter 7 -- Questions for Chapter 7 -- 8 Manova Discriminant Analysis and Qualitative Response Models -- 8.1 Multivariate Analysis of Variance -- 8.2 Discriminant Analysis -- 8.3 Qualitative Response Regression Models and Logistic
Regression -- 9 Principal Components Factors and Correspondence Analysis -- 9.1 Principal Components -- 9.2 The Exploratory Factor Analysis Model -- 9.3 Singular Value Decomposition and Matrix Approximation -- 9.4 Correspondence
Analysis -- Cited Literature and References -- Exercises for Chapter 9 -- Questions for Chapter 9 -- 10 Cluster Analysis and Multidimensional Scaling -- 10.1 Proximity Matrices Derived from Data Matrices -- 10.2 Cluster Analysis --
10.3 Multidimensional Scaling -- Cited Literature and References -- Exercises for Chapter 10 -- Questions for Chapter 10 -- 1. Matrix Algebra -- 1.1 Matrices -- Matrix -- Transpose of a Matrix -- Row Vector and Column Vector -- Square
Matrix -- Symmetric Matrix -- Diagonal Elements -- Trace of a Matrix -- Null or Zero Matrix -- Identity Matrix -- Diagonal Matrix -- Submatrix -- 1.2 Matrix Operations -- Equality of Matrices -- Addition of Matrices -- Additive Inverse
-- Scalar Multiplication of a Matrix -- Product of Two Matrices -- Multiplicative Inverse -- Idempotent Matrix -- Kronecker Product -- 1.3 Determinants and Rank -- Determinant -- Nonsingular -- Relation Between Inverse -- and
Determinant -- Rank of a Matrix -- 1.4 Quadratic Forms and Positive Definite Matrices -- Quadratic Form -- Congruent Matrix -- Positive Definite -- Positive Semidefinite -- Negative Definite -- Non-negative Definite -- 1.5 Partitioned
Matrices -- Product of Partitioned Matrices -- Inverse of a Parti-tioned Matrix -- Determinant of a Partitioned Matrix -- 1.6 Expectations of Random Matrices -- 1.7 Derivatives of Matrix Expressions -- 2. Linear Algebra -- 2.1
Geometric Representation for Vectors -- n Dimensional Space -- Directed Line Segment -- Coordinates -- Addition of Vectors -- Scalar Multiplication -- Length of a Vector -- Angle Between Vectors -- Orthogonal Vectors -- Projection --
2.2 Linear Dependence And Linear Transformations -- Linearly Dependent Vectors -- Linearly Independent Vectors -- Basis for an n-Dimensional Space -- Generation of a Vector Space and Rank of a Matrix -- Linear Transformation --
Orthogonal Transformation -- Rotation -- Orthogonal Matri -- 2.3 Systems of Equations -- Solution Vector for a System of Equations -- Homoge-neous Equations — Trivial and Nontrivial Solutions -- 2.4 Column Spaces -- Projection
Operators and Least -- Squares -- Column Space -- Orthogonal Complement -- Projection -- Ordinary Least Squares Solution Vector -- Idempotent Matrix — Projection Operator -- 3. Eigenvalue Structure and Singular Value Decomposition --
3.1 Eigenvalue Structure for Square Matrices -- Eigenvalues and Eigenvectors -- Characteristic Polynomial -- Characteristic Roots -- Latent Roots -- Eigen-values -- Eigenvalues and Eignevectors for Real Symmetric Matrices and Some
Properties -- Spectral Decomposition -- Matrix Approximation -- Eigenvalues for Nonnegative Definite Matrices -- 3.2 Singular Value Decomposition -- Left and Right Singular Vectors -- Complete Singular Value Decomposition --
Generalized Singular Value Decomposition -- Relationship to Spectral Decomposition and Eigenvalues -- Data Appendix For Volume II -- Data Set V1 -- Data Set V2 -- Data Set V3 -- Data Set V4 -- Data Set V5 -- Data Set V6 -- Data Set V7
-- Data Set V8 -- Data Set V9 -- Data Set V10 -- Data Set Vll -- Data Set V12 -- Data Set V13 -- Data Set V14 -- Data Set V15 -- Data Set V16 -- Data Set V17 -- Data Set V18 -- Data Set V19 -- Data Set V20 -- Data Set V21 -- Data Set
V22 -- Table V1 -- Table V2 -- Table V3 -- Table V4 -- Table V5 -- Table V6 -- Table V7 -- Table V8 -- Table V9 -- Table V10 -- Table V11 -- Table V12 -- Table V13 -- Table V14 -- Table V15 -- Table V16 -- Table V17 -- Table V18 --
Table V19 -- Table V20 -- Table V21 -- Table V22 -- Author Index
ISBN:9781461209218
Series:eBooks
Series:SpringerLink (Online service)
Series:Springer eBooks
Keywords: Mathematics , Medicine , Applied mathematics , Engineering mathematics , Statistics , Mathematics , Applications of Mathematics , Statistics for Business/Economics/Mathematical Finance/Insurance , Statistics for Life Sciences, Medicine, Health Sciences , Medicine/Public Health, general
Availability:Click here to see Library holdings or inquire at Circ Desk (x3401)
Click to reserve this book Be sure to include your ID please.
More info:Amazon.com
More info: Barnes and Noble
Full Text:Click here
Location: ONLINE

Cover
Image
Call number:SPRINGER-1990-9783642758430:ONLINE Show nearby items on shelf
Title:Building Global Security Through Cooperation Annals of Pugwash 1989
Author(s):
Date:1990
Size:1 online resource (304 p.)
Note:10.1007/978-3-642-75843-0
Contents:I Strategic Forces and Their Limitation -- Prospects for Strategic Offensive and Defensive Forces -- Reductions in Strategic Nuclear Warheads -- The Role of “Glasnost” in the Future of the Arms Race -- Accidental Nuclear War -- II
European Security -- The Vienna Force Reduction Talks: Resolved and Unresolved Tasks -- Problems and Prospects for Negotiations on Short-Range Nuclear Forces -- The Ideological Dimension of European Security -- Non-Military Aspects of
European Security -- III Chemical Weapons and Their Control -- Chemical Weapons — Destruction, Conversion or Endless Debate? -- Destruction of Chemical Weapons -- An International Scientific Methodology for Verification of
Non-Production of Chemical Weapons -- The Chemical Weapons Convention: Particular Concerns of Developing Countries -- The Chemical Weapons Convention: A Different View -- IV Nuclear Weapons Proliferation and Testing -- The
Non-Proliferation Treaty: Status of Implementation and the Threatening Developments -- Beyond Non-Proliferation -- The Linkage Between Non-Proliferation, Deterrence Policy, Nuclear Testing and the Arms Race -- V The Arms Trade and
Regional Conflict -- Recent Patterns of Arms Trade and Regional Conflict -- The Arms Trade and Regional Conflict: Suppliers’ Policies and Behaviour and Their Consequences -- Socio-Economic Consequences of Arms Transfers -- Control of
the Arms Trade as a Contribution to Conflict Prevention -- VI Role of United Nations and Multilateral Organizations in International Security -- The Role of the United Nations and Multilateral Organizations in International Security --
Regional Organizations and Their Contribution to International Security: The Case of ASEAN -- The Role of Regional Organizations in the Maintenance of Peace and Security in Latin America -- VII Energy — Environment — Development
Interaction -- Lifestyles, Energy Choices and Development -- Broadening the Global Security Debate: Regional and Global Dialogues on Environmental Issues -- Development of Energy in China and Its Influence on the Environment -- VIII
East-West and North-South Cooperation -- Trade and Finance: The Bitter Truth -- New Approaches to South-South Cooperation -- A Decade of Intended Cooperation in Science and Technology — The 1979 Vienna Programme of Action -- The Roles
of Transnational Public and Private Mechanisms -- Appendices -- Pugwash Council: Statement on the 39th Pugwash Conference -- Statement of the Pugwash Executive Committee on the Fourth NPT Review Conference in 1990 -- Acronyms -- Notes
on the Contributors
ISBN:9783642758430
Series:eBooks
Series:SpringerLink (Online service)
Series:Springer eBooks
Keywords: Physics , Acoustics , Solid state physics , Spectroscopy , Microscopy , Physics , Solid State Physics , Spectroscopy and Microscopy , Physics, general , Acoustics
Availability:Click here to see Library holdings or inquire at Circ Desk (x3401)
Click to reserve this book Be sure to include your ID please.
More info:Amazon.com
More info: Barnes and Noble
Full Text:Click here
Location: ONLINE

Cover
Image
Call number:SPRINGER-1988-9781461387404:ONLINE Show nearby items on shelf
Title:Applied Multivariate Analysis
Author(s): Ira H Bernstein
Date:1988
Size:1 online resource (508 p.)
Note:10.1007/978-1-4613-8740-4
Contents:1 Introduction and Preview -- Overview -- Multivariate Analysis: A Broad Definition -- Multivariate Analysis: A Narrow Definition -- Some Important Themes -- The Role of Computers in Multivariate Analysis -- Choosing a Computer
Package -- Problems in the Use of Computer Packages -- 2 Some Basic Statistical Concepts -- Overview -- Univariate Data Analysis -- Bivariate Data Analysis -- Statistical Control: A First Look at Multivariate Relations -- 3 Some Matrix
Concepts -- Overview -- Basic Definitions -- Basic Matrix Operations -- An Application of Matrix Algebra -- More about Linear Combinations -- Eigenvalues and Eigenvectors -- 4 Multiple Regression and Correlation—Part 1. Basic concepts
-- Overview -- Assumptions Underlying Multiple Regression -- Basic Goals of Regression Analysis -- The Case of Two Predictors -- The Case of More Than Two Predictors -- Inferential Tests -- Evaluating Alternative Equations -- Example
1—Perfect Prediction -- Example 2—Imperfect Prediction plus a Look at Residuals -- Example 3—Real Personality Assessment Data -- Alternative Approaches to Data Aggregation -- 5 Multiple Regression and Correlation—Part 2. Advanced
Applications -- Overview -- Nonquantitative Variables -- The Simple Analysis of Variance (ANOVA) -- Multiple Comparisons -- Evaluation of Quantitative Relations -- The Two-Way ANOVA -- The Analysis of Covariance (ANCOVA) -- Repeated
Measures, Blocked and Matched Designs -- Higher-Order Designs -- 6 Exploratory Factor Analysis -- Overview -- The Basic Factor Analytic Model -- Common Uses of Factor Analysis -- An Overview of the Exploratory Factoring Process --
Principal Components -- Factor Definition and Rotation -- The Common Factor Model -- An Example of the Common Factor Model -- Factor Scores -- Addendum: Constructing Correlation Matrices with a Desired Factor Structure -- 7
Confirmatory Factor Analysis -- Overview -- Comparing Factor Structures -- Oblique Multiple Groups Tests of Weak Structure -- LISREL Tests of Weak Substantive Models -- LISREL Tests of Strong Substantive Models -- Causal Models and
Path Analysis -- Causal Models and LISREL -- Addendum: A Program to Obtain Oblique Multiple Groups Solutions -- 8 Classification Methods—Part 1. Forming Discriminant Axes -- Overview -- Discriminant Analysis with Two Groups and Two
Predictors -- Discriminant Analysis with Two Predictors and Three Groups -- Discriminant Analysis—The General Case -- 9 Classification Methods—Part 2. Methods of Assignment -- Overview -- The Equal Variance Gaussian Model -- The
Unequal Variance Gaussian Model -- Other Signal Detection Models -- Strategies for Individual Classification -- Alternative Strategies—An Overview -- A Numerical Example -- Classification Based on Salient Variables -- Discriminant
Functions and Classification -- Classification Based on Distance Measures -- A Summary of Strategic Considerations in Classification -- 10 Classification Methods—Part 3. Inferential Considerations in the Manova -- Overview -- The
Two-Group MANOVA and Hotelling’s T2 -- Tests of Vector Means with Multiple Groups -- The Simple MANOVA with Multiple Groups -- The Multivariate MANOVA -- The MANCOVA -- 11 Profile and Canonical Analysis -- Overview -- Profile
Similarity -- Simple and Hierarchical Clustering -- Canonical Analysis -- 12 Analysis of Scales -- Overview -- Properties of Individual Items -- Test Reliability -- Numerical Example I: A Unifactor Scale -- Numerical Example II: A
Two-Factor Scale -- Test Validity -- Appendix A—Tables of the Normal Curve -- Appendix D—Tables of Orthogonal Polynomial Coefficients -- Problems -- References -- Author Index
ISBN:9781461387404
Series:eBooks
Series:SpringerLink (Online service)
Series:Springer eBooks
Keywords: Statistics , Statistics , Statistics for Business/Economics/Mathematical Finance/Insurance , Statistics for Social Science, Behavorial Science, Education, Public Policy, and
Availability:Click here to see Library holdings or inquire at Circ Desk (x3401)
Click to reserve this book Be sure to include your ID please.
More info:Amazon.com
More info: Barnes and Noble
Full Text:Click here
Location: ONLINE

Cover
Image
Call number:SPRINGER-1980-9781461260998:ONLINE Show nearby items on shelf
Title:Benefit-Cost Analysis of Data Used to Allocate Funds
Author(s): Bruce D Spencer
Date:1980
Size:1 online resource (296 p.)
Note:10.1007/978-1-4612-6099-8
Contents:0 Introduction -- 1 Loss Function and Benefit Measurement -- §1.0 Introduction -- 1.1 Utility and Social Welfare -- 1.2 Equity -- 1.3 A Simple Loss Function -- Errors in Allocation -- 1.4 Estimating the Parameters of the Loss Function
L(f?,??) for GRS -- 1.5 Fisher-Consistency and Other Properties of the Loss Function L(f?,??) -- 1.6 More General Loss Functions: LH(f?,??) , Lw(f?,??) -- 1.7 Exponential Loss Functions -- 2 The Delta Method -- §2.0 Outline -- 2.1
Notation -- 2.2 Description of the Delta Method -- 2.3 Applicability of the Delta Method to GRS -- 2.4 Application of the Delta Method to Calculating Expected Loss -- 3 Data Used in General Revenue Sharing -- §3.1 Introduction -- 3.2
Population (state level) -- 3.3 Urbanized Population -- 3.4 Population (substate level) -- 3.5 Total Money Income, Per Capita Income (state level) -- 3.6 Per Capita Income (substate level) -- 3.7 Personal Income -- 3.8 Net State and
Local Taxes -- 3.9 State Individual Income Taxes -- 3.10 Federal Individual Income Tax Liabilities -- 3.11 Income Tax Amount (state level) -- 3.12 Adjusted Taxes (substate level) -- 3.13 Intergovernmental Transfers (substate level) --
3.14 Interrelationships Among State- level Data Elements -- 3.15 Interrelationships Among Substate Data Elements -- 3.16 Outline-Symbol Glossary -- 4 Interstate Allocation in GRS §4.1 Introduction 151 -- 4.2 Notation -- 4.3 Conclusions
-- 4.4 Assumptions and Degrees of Approximation -- 4.5 Derivations and Proofs -- 5 Intrastate Allocations in GRS -- §5.1 Overview -- 5.2 Determination of Substate Allocations -- 5.3 Notation -- 5.4 Assumptions and Degrees of
Approximations -- 5.5 Conclusions -- 6 Computations and Analyses -- §6.1 Introduction -- 6.2 Errors in Allocation to States -- 6.3 Substate Errors in Allocation -- 6.4 Benefit Analysis -- 6.5 Summary of Findings -- 7 Policy
Perspectives and Recommendations -- §7.0 Introduction and Summary -- 7.1 Redundancy cf Allocation Formulas -- 7.2 Data Burdens Imposed by Legislation -- 7.3 Minimizing Large Errors in Allocation -- 7.4 Uniform Biases, Non-uniform
Variances -- 7.5 Adjusting for Undercoverage or Other Suspected Biases -- 7.6 Improving the Coverage of the Decennial Census -- 7.7 State Errors vs. Substate Errors -- 7.8 Allocation Formulas as Approximations -- 7.9 Other Uses of Data
-- Appendix A Tables of Biases in Data -- Appendix B Determination of General Revenue Sharing Allocations -- Technical Appendix
ISBN:9781461260998
Series:eBooks
Series:SpringerLink (Online service)
Series:Springer eBooks
Series:Lecture Notes in Statistics: 3
Keywords: Statistics , Architecture , Public finance , Statistics , Statistics for Business/Economics/Mathematical Finance/Insurance , Public Economics , Cities, Countries, Regions
Availability:Click here to see Library holdings or inquire at Circ Desk (x3401)
Click to reserve this book Be sure to include your ID please.
More info:Amazon.com
More info: Barnes and Noble
Full Text:Click here
Location: ONLINE

Cover Image This book is only available through interlibrary loan. (email library@fnal.gov if you would like this title added to the Library collection.)
Call number:HJ9801.H39::1996 Show nearby items on shelf
Title:Essentials of accounting for governmental and not-for-profit organizations
Author(s): John H. Engstrom
Leon Edwards Hay
Date:1996
Edition:4th ed.
Publisher:Irwin, Chicago
Size:355
ISBN:0256166781
Series:The Irwin series in undergraduate accounting 50
Keywords: Finance, Public Accounting. United States
Availability:Click here to see Library holdings or inquire at Circ Desk (x3401)
Click to reserve this book Be sure to include your ID please.
More info:Amazon.com
Location: ILL

Return to the Fermilab Library catalog