Degree | Type | Year | Semester |
---|---|---|---|
2503852 Applied Statistics | OB | 2 | 1 |
Elementary probability. Real random variables. Differential and integral calculation. Elemental algebra: vector spaces and determinants.
The probability distribution of a random vector (discrete or continuous) is the main objective of this course.
We analyze the principal characteristics of the joint distribution: the vector of means, the variance-covariance matrix, the
marginal and conditional distributions, etc.
As a principal example we study the multidimensional normal distribution. It is an important continuous distribution, with applications in linear
model theory, multivariate analysis and statistical decision theory.
Theory and calculations related to continuous multidimensional distributions, strongly depends on integral and differential calculus
with functions of several variables. Having this in mind, we review the principal technics focusing on multivariate probability
applications.
1. Random vectors.
k-dimensional random vectors. The component variables of a random vector. Definition of the joint law of a random vector:
the discrete case and the absolutely continuous case. The joint probability distribution function. Bivariate discrete finite
distributions: marginal and conditional distributions.
2. Discrete distributions.
General bivariate discrete distributions. Marginal distributions. Multivariate discrete distributions. Marginal distributions.
The multinomial distribution. Functions of a discrete random vector.
3. Continuous distributions.
General bivariate continuous distributions. Marginal distributions. Multivariate continuous distributions. Marginal
distributions. Functions of a continuous random vector.
4. Independence and conditional distributions.
Statistically independent random variables and joint distributions. Conditional distributions: discrete and continuous case.
5. Mathematical expectation and other numerical characteristics.
Expectation of a function of a random vector. The moment generation function. Covariance and correlation coefficient.
The variance-covariance matrix. Conditional expectation. Conditional variance. The double expectation theorem.
6. The multidimensional normal distribution.
The bidimensional normal distribution. The multidimensional normal distribution. Distributions related to the normal
distribution: chi-square distributions, Student t distributions and Fisher-Snedecor F distributions. Student theorem.
Cochran theorem.
Unless the requirements enforced by the health authorities demand a prioritization or reduction of these contents.
Teaching methodology is based on the following activities and material:
The proposed teaching methodology may experience some modifications depending
on the restrictions to face-to-face activities enforced by health authorities.
Annotation: Within the schedule set by the centre or degree programme, 15 minutes of one class will be reserved for students to evaluate their lecturers and their courses or modules through questionnaires.
Title | Hours | ECTS | Learning Outcomes |
---|---|---|---|
Type: Directed | |||
Theory lessons | 28 | 1.12 | 3, 2, 1, 6, 5, 4 |
Type: Supervised | |||
Computer laboratory practical sessions (with Maxima and R) | 14 | 0.56 | 3, 2, 1, 6, 5, 4 |
Practical lessons about problems and exercises | 14 | 0.56 | 3, 2, 1, 6, 5, 4 |
Type: Autonomous | |||
Personal work dossier (exercices and theory) | 22 | 0.88 | 3, 2, 1, 6, 5, 4 |
Continued evaluation students can obtain up to 40% of the total score with personal work, done along the course:
personal work dossier (DTP), computer lab work (PRC) and classroom problems (EA), if delivered within the term.
The remaining score is covered by two (independent and equal weight) partial examinations, EP1 and EP2, both with a
second-chance examination, EF1 and EF2.
To pass the course, is required to obtain a minimum of 30% in each of both partial examinations, as well as a minimum of 50%
of the total score.
Denote DTP, EA, PRC, EP1, EP2, EF1 and EF2 the points (over 10) obtained on each of these evaluation items. Then the final
global punctuation QF (over 10) is calculated by means of the next formula:
QF = TC + 0.05 (10-TC-TC1) [max(EP1 , EF1) + max(EP2 , EF2)]
where TC = 0.2 DTP+0.1 EA+0.1 PRC and TC1 = max(0 , 1-0.2 DTP)+(1-0.1 EA) .
The minimum condition on partial examinations is: min{max(EP1 , EF1) , max(EP2 , EF2)} >=3
If this condition is not satisfied then the final global punctuation is min(QF , 4.5).
Student’s assessment may experience some modifications depending on the restrictions
to face-to-face activities enforced by health authorities.
Title | Weighting | Hours | ECTS | Learning Outcomes |
---|---|---|---|---|
Classroom problems (EA) | 10% | 14 | 0.56 | 3, 2, 1, 6, 5, 4 |
Computer lab work (with Maxima and R) | 0% to 10% | 14 | 0.56 | 3, 2, 1, 6, 5, 4 |
Final examinations (EF1, EF2) | 0% to 50% | 0 | 0 | 3, 2, 1, 6, 5, 4 |
Partial examinations (EP1, EP2) | 20% to 40% (each one) | 0 | 0 | 3, 2, 1, 6, 5, 4 |
Personal work dossier of exercices and theory (DTP) | 10% to 20% | 44 | 1.76 | 3, 2, 1, 6, 5, 4 |
J.E. Marsden & J. Tromba: Calculo Vectorial (Addison-Wesley).
M. de Groot: Probabilidad y Estadística (Addison-Wesley).
D. Peña: Fundamentos de Estadística (Alianza Editorial).(*)
D. Peña: Análisis de datos multivarianters (McGraw-Hill).(*)
J.G. Kalbfleisch: Probabilidad e Inferencia Estadística (Vol. 1) (AC).
V. Zaiats; M.L. Calle; R. Presas: Probabilitat i Estadística. Exercicis I. U.A.B. (Materials, 107).(*)
(*) most relevant bibliography.