Skew-normal factor analysis models with incomplete data
From MaRDI portal
Recommendations
- Robust skew-\(t\) factor analysis models for handling missing data
- Analysis of multivariate skew normal models with incomplete data
- A robust factor analysis model using the restricted skew-\(t\) distribution
- Skewed factor models using selection mechanisms
- A skew-normal factor model for the analysis of student satisfaction towards university courses
Cites work
- A general class of multivariate skew-elliptical distributions
- A multivariate skew normal distribution.
- A new class of multivariate skew distributions with applications to bayesian regression models
- A skew-normal factor model for the analysis of student satisfaction towards university courses
- Analysis of multivariate skew normal models with incomplete data
- Characterizing the Estimation of Parameters in Incomplete-Data Problems
- Distributions Generated by Perturbation of Symmetry with Emphasis on a Multivariate Skewt-Distribution
- Efficient ML estimation of the multivariate normal distribution from incomplete data
- Estimating the dimension of a model
- Estimation for structural equation models with missing data
- Estimation for the multiple factor model when data are missing
- Finite mixtures of multivariate skew \(t\)-distributions: some recent and new results
- Flexible mixture modelling using the multivariate skew-\(t\)-normal distribution
- scientific article; zbMATH DE number 5668407 (Why is no real title available?)
- scientific article; zbMATH DE number 3930122 (Why is no real title available?)
- scientific article; zbMATH DE number 3980216 (Why is no real title available?)
- scientific article; zbMATH DE number 3567782 (Why is no real title available?)
- scientific article; zbMATH DE number 1136452 (Why is no real title available?)
- scientific article; zbMATH DE number 2063756 (Why is no real title available?)
- scientific article; zbMATH DE number 2140075 (Why is no real title available?)
- scientific article; zbMATH DE number 3444596 (Why is no real title available?)
- scientific article; zbMATH DE number 1834445 (Why is no real title available?)
- scientific article; zbMATH DE number 805043 (Why is no real title available?)
- scientific article; zbMATH DE number 3251902 (Why is no real title available?)
- Inference and missing data
- Influence diagnostics for skew-normal linear mixed models
- Maximum Likelihood Estimates for a Multivariate Normal Distribution when some Observations are Missing
- Maximum likelihood estimation via the ECM algorithm: A general framework
- Mixtures of factor analysers. Bayesian estimation and inference by stochastic simulation
- Mixtures of skew-\(t\) factor analyzers
- Monte Carlo sampling methods using Markov chains and their applications
- On fundamental skew distributions
- On mixtures of skew normal and skew t-distributions
- On the Unification of Families of Skew-normal Distributions
- Parameter expansion to accelerate EM: the PX-EM algorithm
- Statistical Applications of the Multivariate Skew Normal Distribution
- The multivariate skew-normal distribution
- The Skew-normal Distribution and Related Multivariate Families*
Cited in
(16)- Analysis of multivariate skew normal models with incomplete data
- Robust skew-\(t\) factor analysis models for handling missing data
- Skew-elliptical distributions with applications in risk theory
- Automated learning of \(t\) factor analysis models with complete and incomplete data
- Modelling non-normal data: the relationship between the skew-normal factor model and the quadratic factor model
- A robust factor analysis model using the restricted skew-\(t\) distribution
- A skew-normal factor model for the analysis of student satisfaction towards university courses
- A skew factor analysis model based on the normal mean-variance mixture of Birnbaum-Saunders distribution
- Skewed factor models using selection mechanisms
- Model-based clustering via mixtures of unrestricted skew normal factor analyzers with complete and incomplete data
- A robust factor analysis model based on the canonical fundamental skew-t distribution
- Flexible factor model for handling missing data in supervised learning
- Skew multiple scaled mixtures of normal distributions with flexible tail behavior and their application to clustering
- Optimal portfolio projections for skew-elliptically distributed portfolio returns
- Generalized latent variable models for location, scale, and shape parameters
- A flexible factor analysis based on the class of mean-mixture of normal distributions
This page was built for publication: Skew-normal factor analysis models with incomplete data
Report a bug (only for logged in users!)Click here to report a bug for this page (MaRDI item Q5130193)