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Analysis of Repeated Measures Data (Hardcover, 1st ed. 2017): M. Ataharul Islam, Rafiqul I Chowdhury Analysis of Repeated Measures Data (Hardcover, 1st ed. 2017)
M. Ataharul Islam, Rafiqul I Chowdhury
R3,049 Discovery Miles 30 490 Ships in 10 - 15 working days

This book presents a broad range of statistical techniques to address emerging needs in the field of repeated measures. It also provides a comprehensive overview of extensions of generalized linear models for the bivariate exponential family of distributions, which represent a new development in analysing repeated measures data. The demand for statistical models for correlated outcomes has grown rapidly recently, mainly due to presence of two types of underlying associations: associations between outcomes, and associations between explanatory variables and outcomes. The book systematically addresses key problems arising in the modelling of repeated measures data, bearing in mind those factors that play a major role in estimating the underlying relationships between covariates and outcome variables for correlated outcome data. In addition, it presents new approaches to addressing current challenges in the field of repeated measures and models based on conditional and joint probabilities. Markov models of first and higher orders are used for conditional models in addition to conditional probabilities as a function of covariates. Similarly, joint models are developed using both marginal-conditional probabilities as well as joint probabilities as a function of covariates. In addition to generalized linear models for bivariate outcomes, it highlights extended semi-parametric models for continuous failure time data and their applications in order to include models for a broader range of outcome variables that researchers encounter in various fields. The book further discusses the problem of analysing repeated measures data for failure time in the competing risk framework, which is now taking on an increasingly important role in the field of survival analysis, reliability and actuarial science. Details on how to perform the analyses are included in each chapter and supplemented with newly developed R packages and functions along with SAS codes and macro/IML. It is a valuable resource for researchers, graduate students and other users of statistical techniques for analysing repeated measures data.

Reliability and Survival Analysis (Hardcover, 1st ed. 2019): Md. Rezaul Karim, M. Ataharul Islam Reliability and Survival Analysis (Hardcover, 1st ed. 2019)
Md. Rezaul Karim, M. Ataharul Islam
R3,005 Discovery Miles 30 050 Ships in 10 - 15 working days

This book presents and standardizes statistical models and methods that can be directly applied to both reliability and survival analysis. These two types of analysis are widely used in many fields, including engineering, management, medicine, actuarial science, the environmental sciences, and the life sciences. Though there are a number of books on reliability analysis and a handful on survival analysis, there are virtually no books on both topics and their overlapping concepts. Offering an essential textbook, this book will benefit students, researchers, and practitioners in reliability and survival analysis, reliability engineering, biostatistics, and the biomedical sciences.

Analysis of Repeated Measures Data (Paperback, Softcover reprint of the original 1st ed. 2017): M. Ataharul Islam, Rafiqul I... Analysis of Repeated Measures Data (Paperback, Softcover reprint of the original 1st ed. 2017)
M. Ataharul Islam, Rafiqul I Chowdhury
R2,419 Discovery Miles 24 190 Ships in 18 - 22 working days

This book presents a broad range of statistical techniques to address emerging needs in the field of repeated measures. It also provides a comprehensive overview of extensions of generalized linear models for the bivariate exponential family of distributions, which represent a new development in analysing repeated measures data. The demand for statistical models for correlated outcomes has grown rapidly recently, mainly due to presence of two types of underlying associations: associations between outcomes, and associations between explanatory variables and outcomes. The book systematically addresses key problems arising in the modelling of repeated measures data, bearing in mind those factors that play a major role in estimating the underlying relationships between covariates and outcome variables for correlated outcome data. In addition, it presents new approaches to addressing current challenges in the field of repeated measures and models based on conditional and joint probabilities. Markov models of first and higher orders are used for conditional models in addition to conditional probabilities as a function of covariates. Similarly, joint models are developed using both marginal-conditional probabilities as well as joint probabilities as a function of covariates. In addition to generalized linear models for bivariate outcomes, it highlights extended semi-parametric models for continuous failure time data and their applications in order to include models for a broader range of outcome variables that researchers encounter in various fields. The book further discusses the problem of analysing repeated measures data for failure time in the competing risk framework, which is now taking on an increasingly important role in the field of survival analysis, reliability and actuarial science. Details on how to perform the analyses are included in each chapter and supplemented with newly developed R packages and functions along with SAS codes and macro/IML. It is a valuable resource for researchers, graduate students and other users of statistical techniques for analysing repeated measures data.

Markov Models with Covariate Dependence for Repeated Measures (Hardcover): M. Ataharul Islam, Rafiqul Islam Chowdhury Markov Models with Covariate Dependence for Repeated Measures (Hardcover)
M. Ataharul Islam, Rafiqul Islam Chowdhury
R2,222 Discovery Miles 22 220 Ships in 10 - 15 working days

During the recent past, there has been a great deal of interest in solving problems of repeated measures data employing the Markov chain models. Most of the researchers and users of such techniques are only transition probabilities of various orders to show relationships among various states. However, in the recent past, there are attempts to include covariates in order to analyse the transition probabilities. Due to lack of a book on this topic, it is difficult for the researchers, students, and other users to have a thorough understanding in applying the methods based on sound knowledge. In addition, there is a lack of suitable software to handle repeated measures for Markov model applications. The main purpose of the book is to provide a theoretical base to the readers who will be willing to use these techniques for real life situations as well as for those who intend to continue advanced research in this field. This book provides a comprehensive discussion and theoretical details of the techniques in this field along with their estimation and test procedures, application of the techniques to real life problems, and the computer programs for using the techniques.

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