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论坛 金融投资论坛 六区 金融学(理论版)
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2008-03-04

195493.pdf
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 Publisher:   springer, USA# @1 o# s! j! o* z7 ]
Publication Date:   2000, B3 r* D! {& v: p& P1 k8 N. W8 a
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ISBN / ASIN:   0387988718 z+ i$ `$ @# c7 ?  B  g8 o
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By R.B.bapat

pages:147

The main purpose of the present monograph is to provide a rigorous introduction
to the basic aspects of the theory of linear estimation and hypothesis testing. The
necessary prerequisites in matrices, multivariate normal distribution, and distribution
of quadratic forms are developed along the way. The monograph is primarily
aimed at advanced undergraduate and first-year master’s students taking courses
in linear algebra, linear models, multivariate analysis, and design of experiments.
It should also be of use to research workers as a source of several standard results
and problems.

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