Dekorationsartikel gehören nicht zum Leistungsumfang.
Bayesian Analysis for the Social Sciences
Buch von Simon Jackman
Sprache: Englisch

102,50 €*

inkl. MwSt.

Versandkostenfrei per Post / DHL

Aktuell nicht verfügbar

Kategorien:
Beschreibung
Bayesian methods are increasingly being used in the social sciences, as the problems encountered lend themselves so naturally to the subjective qualities of Bayesian methodology. This book provides an accessible introduction to Bayesian methods, tailored specifically for social science students. It contains lots of real examples from political science, psychology, sociology, and economics, exercises in all chapters, and detailed descriptions of all the key concepts, without assuming any background in statistics beyond a first course. It features examples of how to implement the methods using WinBUGS - the most-widely used Bayesian analysis software in the world - and R - an open-source statistical software. The book is supported by a Website featuring WinBUGS and R code, and data sets.
Bayesian methods are increasingly being used in the social sciences, as the problems encountered lend themselves so naturally to the subjective qualities of Bayesian methodology. This book provides an accessible introduction to Bayesian methods, tailored specifically for social science students. It contains lots of real examples from political science, psychology, sociology, and economics, exercises in all chapters, and detailed descriptions of all the key concepts, without assuming any background in statistics beyond a first course. It features examples of how to implement the methods using WinBUGS - the most-widely used Bayesian analysis software in the world - and R - an open-source statistical software. The book is supported by a Website featuring WinBUGS and R code, and data sets.
Über den Autor
Simon Jackman is a political scientist by trade but has a tremendous amount of experience in using Bayesian methods for solving problems in the social and political sciences, and teaching Bayesian methods to social science students.
Inhaltsverzeichnis
List of Figures.

List of Tables.

Preface.

Acknowledgments.

Introduction.

Part I: Introducing Bayesian Analysis.

1. The foundations of Bayesian inference.

1.1 What is probability?

1.2 Subjective probability in Bayesian statistics.

1.3 Bayes theorem, discrete case.

1.4 Bayes theorem, continuous parameter.

1.5 Parameters as random variables, beliefs as distributions.

1.6 Communicating the results of a Bayesian analysis.

1.7 Asymptotic properties of posterior distributions.

1.8 Bayesian hypothesis testing.

1.9 From subjective beliefs to parameters and models.

1.10 Historical note.

2. Getting started: Bayesian analysis for simple models.

2.1 Learning about probabilities, rates and proportions.

2.2 Associations between binary variables.

2.3 Learning from counts.

2.4 Learning about a normal mean and variance.

2.5 Regression models.

2.6 Further reading.

Part II: Simulation Based Bayesian Analysis.

3. Monte Carlo methods.

3.1 Simulation consistency.

3.2 Inference for functions of parameters.

3.3 Marginalization via Monte Carlo integration.

3.4 Sampling algorithms.

3.5 Further reading.

4. Markov chains.

4.1 Notation and definitions.

4.2 Properties of Markov chains.

4.3 Convergence of Markov chains.

4.4 Limit theorems for Markov chains.

4.5 Further reading.

5. Markov chain Monte Carlo.

5.1 Metropolis-Hastings algorithm.

5.2 Gibbs sampling.

6. Implementing Markov chain Monte Carlo.

6.1 Software for Markov chain Monte Carlo.

6.2 Assessing convergence and run-length.

6.3 Working with BUGS/JAGS from R.

6.4 Tricks of the trade.

6.5 Other examples.

6.6 Further reading.

Part III: Advanced Applications in the Social Sciences.

7. Hierarchical Statistical Models.

7.1 Data and parameters that vary by groups: the case for hierarchical modeling.

7.2 ANOVA as a hierarchical model.

7.3 Hierarchical models for longitudinal data.

7.4 Hierarchical models for non-normal data.

7.5 Multi-level models.

8. Bayesian analysis of choice making.

8.1 Regression models for binary responses.

8.2 Ordered outcomes.

8.3 Multinomial outcomes.

8.4 Multinomial probit.

9. Bayesian approaches to measurement.

9.1 Bayesian inference for latent states.

9.2 Factor analysis.

9.3 Item-response models.

9.4 Dynamic measurement models.

Part IV: Appendices.

Appendix A: Working with vectors and matrices.

Appendix B: Probability review.

B.1 Foundations of probability.

B.2 Probability densities and mass functions.

B.3 Convergence of sequences of random variabales.

Appendix C: Proofs of selected propositions.

C.1 Products of normal densities.

C.2 Conjugate analysis of normal data.

C.3 Asymptotic normality of the posterior density.

References.

Topic index.

Author index.
Details
Erscheinungsjahr: 2009
Fachbereich: Wahrscheinlichkeitstheorie
Genre: Mathematik
Rubrik: Naturwissenschaften & Technik
Medium: Buch
Seiten: 608
Inhalt: XXXIV
570 S.
ISBN-13: 9780470011546
ISBN-10: 0470011548
Sprache: Englisch
Einband: Gebunden
Autor: Jackman, Simon
Hersteller: Wiley
John Wiley & Sons
Maße: 250 x 175 x 37 mm
Von/Mit: Simon Jackman
Erscheinungsdatum: 01.12.2009
Gewicht: 1,219 kg
preigu-id: 101866466
Über den Autor
Simon Jackman is a political scientist by trade but has a tremendous amount of experience in using Bayesian methods for solving problems in the social and political sciences, and teaching Bayesian methods to social science students.
Inhaltsverzeichnis
List of Figures.

List of Tables.

Preface.

Acknowledgments.

Introduction.

Part I: Introducing Bayesian Analysis.

1. The foundations of Bayesian inference.

1.1 What is probability?

1.2 Subjective probability in Bayesian statistics.

1.3 Bayes theorem, discrete case.

1.4 Bayes theorem, continuous parameter.

1.5 Parameters as random variables, beliefs as distributions.

1.6 Communicating the results of a Bayesian analysis.

1.7 Asymptotic properties of posterior distributions.

1.8 Bayesian hypothesis testing.

1.9 From subjective beliefs to parameters and models.

1.10 Historical note.

2. Getting started: Bayesian analysis for simple models.

2.1 Learning about probabilities, rates and proportions.

2.2 Associations between binary variables.

2.3 Learning from counts.

2.4 Learning about a normal mean and variance.

2.5 Regression models.

2.6 Further reading.

Part II: Simulation Based Bayesian Analysis.

3. Monte Carlo methods.

3.1 Simulation consistency.

3.2 Inference for functions of parameters.

3.3 Marginalization via Monte Carlo integration.

3.4 Sampling algorithms.

3.5 Further reading.

4. Markov chains.

4.1 Notation and definitions.

4.2 Properties of Markov chains.

4.3 Convergence of Markov chains.

4.4 Limit theorems for Markov chains.

4.5 Further reading.

5. Markov chain Monte Carlo.

5.1 Metropolis-Hastings algorithm.

5.2 Gibbs sampling.

6. Implementing Markov chain Monte Carlo.

6.1 Software for Markov chain Monte Carlo.

6.2 Assessing convergence and run-length.

6.3 Working with BUGS/JAGS from R.

6.4 Tricks of the trade.

6.5 Other examples.

6.6 Further reading.

Part III: Advanced Applications in the Social Sciences.

7. Hierarchical Statistical Models.

7.1 Data and parameters that vary by groups: the case for hierarchical modeling.

7.2 ANOVA as a hierarchical model.

7.3 Hierarchical models for longitudinal data.

7.4 Hierarchical models for non-normal data.

7.5 Multi-level models.

8. Bayesian analysis of choice making.

8.1 Regression models for binary responses.

8.2 Ordered outcomes.

8.3 Multinomial outcomes.

8.4 Multinomial probit.

9. Bayesian approaches to measurement.

9.1 Bayesian inference for latent states.

9.2 Factor analysis.

9.3 Item-response models.

9.4 Dynamic measurement models.

Part IV: Appendices.

Appendix A: Working with vectors and matrices.

Appendix B: Probability review.

B.1 Foundations of probability.

B.2 Probability densities and mass functions.

B.3 Convergence of sequences of random variabales.

Appendix C: Proofs of selected propositions.

C.1 Products of normal densities.

C.2 Conjugate analysis of normal data.

C.3 Asymptotic normality of the posterior density.

References.

Topic index.

Author index.
Details
Erscheinungsjahr: 2009
Fachbereich: Wahrscheinlichkeitstheorie
Genre: Mathematik
Rubrik: Naturwissenschaften & Technik
Medium: Buch
Seiten: 608
Inhalt: XXXIV
570 S.
ISBN-13: 9780470011546
ISBN-10: 0470011548
Sprache: Englisch
Einband: Gebunden
Autor: Jackman, Simon
Hersteller: Wiley
John Wiley & Sons
Maße: 250 x 175 x 37 mm
Von/Mit: Simon Jackman
Erscheinungsdatum: 01.12.2009
Gewicht: 1,219 kg
preigu-id: 101866466
Warnhinweis