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Random Sets in Econometrics (Econometric Society Monographs (Paperback), Vol. 60) '18
Molchanov, Ilya,
Molinari, Francesca
著
発行年月 |
2018年04月 |
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出版国 |
アメリカ合衆国 |
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言語 |
英語 |
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媒体 |
冊子 |
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装丁 |
paper |
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ページ数/巻数 |
194 p., 10 b/w illus. |
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ジャンル |
洋書/社会科学/経済学/数理経済・計量経済・実験経済 |
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ISBN |
9781107548732 |
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商品コード |
1025599063 |
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本の性格 |
学術書 |
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新刊案内掲載月 |
2017年11月 |
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商品URL
| https://kw.maruzen.co.jp/ims/itemDetail.html?itmCd=1025599063 |
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内容
Random set theory is a fascinating branch of mathematics that amalgamates techniques from topology, convex geometry, and probability theory. Social scientists routinely conduct empirical work with data and modelling assumptions that reveal a set to which the parameter of interest belongs, but not its exact value. Random set theory provides a coherent mathematical framework to conduct identification analysis and statistical inference in this setting and has become a fundamental tool in econometrics and finance. This is the first book dedicated to the use of the theory in econometrics, written to be accessible for readers without a background in pure mathematics. Molchanov and Molinari define the basics of the theory and illustrate the mathematical concepts by their application in the analysis of econometric models. The book includes sets of exercises to accompany each chapter as well as examples to help readers apply the theory effectively.