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Fundamentals of Quality Control and Improvement, 3rd Edition book
- Authors: Amitava Mitra
- Published Date: Aug 22, 2008
A statistical approach to the principles of quality control and management Incorporating modern ideas, methods, and philosophies of quality management, Fundamentals of Quality Control and...
Applied Linear Regression, 3rd Edition book
- Authors: Sanford Weisberg
- Published Date: Mar 11, 2005
Master linear regression techniques with a new edition of a classic text Reviews of the Second Edition: "I found it enjoyable reading and so full of interesting material that even the...
Response Surface Methodology: Process and Product Optimization Using Designed Experiments, 3rd Edition book
- Authors: Raymond H. Myers, Douglas C. Montgomery, Christine M. Anderson-Cook
- Published Date: Jan 27, 2009
Praise for the Second Edition: "This book [is for] anyone who would like a good, solid understanding of response surface methodology. The book is easy to read, easy to understand, and very...
Bayesian Estimation and Tracking: A Practical Guide book
- Authors: Anton J. Haug
- Published Date: Jun 29, 2012
A practical approach to estimating and tracking dynamic systems in real-worl applications Much of the literature on performing estimation for non-Gaussian systems is short on practical methodology,...
Mathematical Modeling with Multidisciplinary Applications book
- Authors: Xin-She Yang
- Published Date: Nov 30, 2012
Features mathematical modeling techniques and real-world processes with applications in diverse fields Mathematical Modeling with Multidisciplinary Applications details the interdisciplinary...
Mathematical Finance book
- Authors: M. J. Alhabeeb
- Published Date: Aug 31, 2012
An introduction to the mathematical skills needed to understand finance and make better financial decisions Mathematical Finance enables readers to develop the mathematical skills needed to better...
Foundations of Risk Analysis, 2nd Edition book
- Authors: Terje Aven
- Published Date: Mar 16, 2012
Foundations of Risk Analysis presents the issues core to risk analysis – understanding what risk means, expressing risk, building risk models, addressing uncertainty, and applying...
Financial Risk Modelling and Portfolio Optimization with R book
- Authors: Bernhard Pfaff
- Published Date: Dec 28, 2012
Introduces the latest techniques advocated for measuring financial market risk and portfolio optimisation, and provides a plethora of R code examples that enable the reader to replicate the results...
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