Includes practical elements of matrix theory, continuous multivariate distributions and basic multivariate statistics in the normal distribution; regression and the analysis of variance; factor analysis and latent structure analysis; canonical correlations; stable portfolio analysis; classifications and discrimination models; control in the multivariate linear model; and structuring multivariate populations. 1982 edition.
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(217mm x 137mm x 35mm)
Dover Publications Inc.
Publisher: Dover Publications Inc.
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