Estimation in Multivariate Nonnormal Distributions With Stochastic Variance Function

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Abstract

In this paper the problem of estimation of location and scatter of multivariate nonnormal distributions is considered. Estimators are derived under a maximum likelihood setup by expressing the non-linear likelihood equations in the linear form. The resulting estimators are analytical expressions in terms of sample values and, hence, are easily computable and can also be manipulated analytically. These estimators are found to be remarkably more efficient and robust as compared to the least square estimators. They also provide more powerful tests in testing various relevant statistical hypotheses. (C) 2013 Elsevier B.V. All rights reserved.

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Keywords

Correlation Coefficient, Least Squares, Multivariate Nonnormal Distribution, Multivariate T-Distribution, Modified Maximum Likelihood, Short-Tailed Distribution, Estimation in multivariate analysis, short-tailed distribution, least squares, multivariate \(t\)-distribution, multivariate nonnormal distribution, Hypothesis testing in multivariate analysis, modified maximum likelihood, correlation coefficient

Fields of Science

0502 economics and business, 05 social sciences, 0101 mathematics, 01 natural sciences

Citation

Islam, M.Q. (2014). Estimation in multivariate nonnormal distributions with stochastic variance function. Journal of Computational and Applied Mathematics, 255, 698-714. http://dx.doi.org/10.1016/j.cam.2013.06.032

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3

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255

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698

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714
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Scopus : 4

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