Introduction to Bayesian Econometrics

Introduction to Bayesian Econometrics

EnglishPaperback / softbackPrint on demand
Greenberg Edward
Cambridge University Press
EAN: 9781107436770
Print on demand
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Detailed information

This textbook explains the basic ideas of subjective probability and shows how subjective probabilities must obey the usual rules of probability to ensure coherency. It defines the likelihood function, prior distributions and posterior distributions. It explains how posterior distributions are the basis for inference and explores their basic properties. Various methods of specifying prior distributions are considered, with special emphasis on subject-matter considerations and exchange ability. The regression model is examined to show how analytical methods may fail in the derivation of marginal posterior distributions. The remainder of the book is concerned with applications of the theory to important models that are used in economics, political science, biostatistics and other applied fields. New to the second edition is a chapter on semiparametric regression and new sections on the ordinal probit, item response, factor analysis, ARCH-GARCH and stochastic volatility models. The new edition also emphasizes the R programming language.
EAN 9781107436770
ISBN 110743677X
Binding Paperback / softback
Publisher Cambridge University Press
Publication date August 21, 2014
Pages 270
Language English
Dimensions 254 x 178 x 14
Country United Kingdom
Authors Greenberg Edward
Illustrations 19 Tables, unspecified; 29 Line drawings, unspecified
Edition 2 Revised edition