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О. Романюк
О. Романюк, страница 232
Risk and Financial Management
Introduction to Mixed Modelling
Simulation and Monte Carlo
Applied Multiway Data Analysis
Convergence of Probability Measures
Statistical Modeling by Wavelets
Statistical Rules of Thumb
Markov Processes and Applications
Methodology of Longitudinal Surveys
Numerical Methods in Finance
Regression With Social Data
Statistical Design for Research
Survey Errors and Survey Costs
Probability and Random Processes
Aspects of Statistical Inference
Information and Exponential Families
Statistics for Spatial Data
Smoothing of Multivariate Data
Methods of Multivariate Analysis
Introduction to Nonparametric Regression
Long-Memory Time Series
Introduction to Real Analysis
Fourier Analysis on Groups
Lebesgue Measure and Integration
Topology and Its Applications
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