Applied Multivariate Statistical Analysis, Volume 1This market-leading book offers a readable introduction to the statistical analysis of multivariate observations. Its overarching goal is to provide readers with the knowledge necessary to make proper interpretations and select appropriate techniques for analyzing multivariate data. Chapter topics include aspects of multivariate analysis, matrix algebra and random vectors, sample geometry and random sampling, the multivariate normal distribution, inferences about a mean vector, comparisons of several multivariate means, multivariate linear regression models, principal components, factor analysis and inference for structured covariance matrices, canonical correlation analysis, and discrimination and classification. For experimental scientists in a variety of disciplines. |
What people are saying - Write a review
LibraryThing Review
User Review - bluetyson - LibraryThingApplied Multivariate Statistical Analysis by Richard A. Johnson is your basic beyond basic if you will, garden variety big honking textbook deal. A somewhat useful tome, but again, not that ... Read full review
User Review - Flag as inappropriate
a very comphrehensive and in-dept monograph, good multivariate statistical handbook for research or grad studies.
Contents
ASPECTS OF MULTIVARIATE ANALYSIS | 1 |
MATRIX ALGEBRA AND RANDOM VECTORS | 50 |
SAMPLE GEOMETRY AND RANDOM SAMPLING | 112 |
Copyright | |
13 other sections not shown
Other editions - View all
Applied Multivariate Statistical Analysis Richard Arnold Johnson,Dean W. Wichern No preview available - 2002 |
Common terms and phrases
approximation axes bivariate normal Bonferroni calculate canonical correlations canonical variates Chernoff faces chi-square clusters columns confidence intervals Consider Construct coordinate correlation coefficient corresponding data matrix data set determined dimensions eigenvalues eigenvectors ellipse ellipsoid equal equation Example Exercise F-distribution factor analysis factor loadings factor model factor scores function given independent interpretation large sample least squares length likelihood ratio linear combinations linear regression linkage MANOVA maximum likelihood estimates measurements method misclassification multivariate normal normal distribution normal population observations obtained orthogonal outliers parameters points prediction prior probabilities procedure Q-Q plot random sample random variables random vector regression model reject H0 residual response Result rotated sample canonical sample covariance matrix sample mean sample principal components sample variance scatter plot simultaneous confidence intervals specific variances squared distance standardized statistical statistical distance sum of squares tion treatment univariate values zero