The two-piece normal, binormal, or double Gaussian distribution: its origin and rediscoveries
From MaRDI portal
Publication:254391
DOI10.1214/13-STS417zbMath1332.60009arXiv1405.4995MaRDI QIDQ254391
Publication date: 8 March 2016
Published in: Statistical Science (Search for Journal in Brave)
Full work available at URL: https://arxiv.org/abs/1405.4995
Francis GaltonFrancis Ysidro EdgeworthGottlob Friedrich LippsGustav Theodor FechnerKarl PearsonOscar Sheynin
Exact distribution theory in statistics (62E15) Probability distributions: general theory (60E05) History of mathematics in the 19th century (01A55) History of probability theory (60-03)
Related Items (18)
Nonstationary generalised autoregressive conditional heteroskedasticity modelling for fitting higher order moments of financial series within moving time windows ⋮ On order statistics from Laplace-type distributions ⋮ Letter to the Editor: ‘On Quantile‐based Asymmetric Family of Distributions: Properties and Inference’ ⋮ Response to the Letter to the Editor on ‘On Quantile‐based Asymmetric Family of Distributions: Properties and Inference’ ⋮ On Families of Distributions with Shape Parameters ⋮ Flexible asymmetric multivariate distributions based on two-piece univariate distributions ⋮ Fechner’s Distribution and Connections to Skew Brownian Motion ⋮ A new transformation of continuous unimodal asymmetric probability distributions into possibility distributions ⋮ A new class of distributions on the whole real line based on the continuous iteration approach ⋮ The generalized two-sided beta distribution with applications in project risk analysis ⋮ On a transform for modeling skewness ⋮ A class of random fields with two-piece marginal distributions for modeling point-referenced data with spatial outliers ⋮ FACTORISABLE MULTITASK QUANTILE REGRESSION ⋮ A two-piece normal measurement error model ⋮ A formulation for continuous mixtures of multivariate normal distributions ⋮ On a family of two-piece circular distributions ⋮ Tractable Bayesian Variable Selection: Beyond Normality ⋮ Revisiting Francis Galton's forecasting competition
Cites Work
- Unnamed Item
- Unnamed Item
- Unnamed Item
- Unnamed Item
- Unnamed Item
- Unnamed Item
- Unnamed Item
- A generalized asymmetric Student-\(t\) distribution with application to financial econometrics
- Karl Pearson's theoretical errors and the advances they inspired
- The epsilon-skew-normal distribution for analyzing near-normal data
- Biometrika: The first 100 years
- Methods for the two-piece normal distribution
- On Bayesian Modeling of Fat Tails and Skewness
- Mean, median, mode
- Bayesian Inference in Econometric Models Using Monte Carlo Integration
- Pivotal Models and the Fiducial Argument
This page was built for publication: The two-piece normal, binormal, or double Gaussian distribution: its origin and rediscoveries