Extreme Value Modeling and Risk Analysis
Taylor & Francis

Extreme Value Modeling and Risk Analysis - Hardback

Edition: 1st Edition
Subjects: Maths & Science, Geochemistry
ISBN13: 9781498701297
Published: 21 Dec 2015

Format - Hardback
By Dipak K. Dey

The release of this order may delay up to 4-6 weeks due to congestion at publisher’s warehouse.

Regular price A$201.60
Sale price A$201.60 Regular price A$252.00

Extreme Value Modeling and Risk Analysis - Hardback

Regular price A$201.60
Sale price A$201.60 Regular price A$252.00
Product description

Extreme Value Modeling and Risk Analysis: Methods and Applications presents a broad overview of statistical modeling of extreme events along with the most recent methodologies and various applications. The book brings together background material and advanced topics, eliminating the need to sort through the massive amount of literature on the subject.

After reviewing univariate extreme value analysis and multivariate extremes, the book explains univariate extreme value mixture modeling, threshold selection in extreme value analysis, and threshold modeling of non-stationary extremes. It presents new results for block-maxima of vine copulas, develops time series of extremes with applications from climatology, describes max-autoregressive and moving maxima models for extremes, and discusses spatial extremes and max-stable processes. The book then covers simulation and conditional simulation of max-stable processes; inference methodologies, such as composite likelihood, Bayesian inference, and approximate Bayesian computation; and inferences about extreme quantiles and extreme dependence. It also explores novel applications of extreme value modeling, including financial investments, insurance and financial risk management, weather and climate disasters, clinical trials, and sports statistics.

Risk analyses related to extreme events require the combined expertise of statisticians and domain experts in climatology, hydrology, finance, insurance, sports, and other fields. This book connects statistical/mathematical research with critical decision and risk assessment/management applications to stimulate more collaboration between these statisticians and specialists.

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