A Method for Multivariate Probability Distributions Construction via Parameter Dependence

被引:5
作者
Filus, Jerzy K. [1 ]
Filus, Lidia Z. [2 ]
机构
[1] Oakton Community Coll, Dept Math & Comp Sci, Des Plaines, IL USA
[2] NE Illinois Univ, Dept Math, Chicago, IL 60625 USA
关键词
Bivariate normal density; Conditioning; Parameter dependence; Reliability; Primary; 62H05; Secondary; 62E10; FAMILIES;
D O I
10.1080/03610926.2012.731549
中图分类号
O21 [概率论与数理统计]; C8 [统计学];
学科分类号
020208 ; 070103 ; 0714 ;
摘要
The nature of stochastic dependence in the classic bivariate normal density framework is analyzed. In the case of this distribution we stress the way the conditional density of one of the random variables depends on realizations of the other. Typically, in the bivariate normal case this dependence takes the form of a parameter (here the expected value) of one probability density depending continuously (here linearly) on realizations of the other random variable. Our point is that such a pattern does not need to be restricted to that classical case of bivariate normal. We show that this paradigm can be generalized and viewed in ways that allows us to extend it far beyond the bivariate normal distributions class.
引用
收藏
页码:716 / 721
页数:6
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