Salvato in:
Dettagli Bibliografici
Autori principali: Bladt, Martin, Mueller, Alaric, Yslas, Jorge
Natura: Preprint
Pubblicazione: 2021
Soggetti:
Accesso online:https://arxiv.org/abs/2101.07987
Tags: Aggiungi Tag
Nessun Tag, puoi essere il primo ad aggiungerne!!
_version_ 1866915186507513856
author Bladt, Martin
Mueller, Alaric
Yslas, Jorge
author_facet Bladt, Martin
Mueller, Alaric
Yslas, Jorge
contents The matrixdist R package provides a comprehensive suite of tools for the statistical analysis of matrix distributions, including phase-type, inhomogeneous phase-type, discrete phase-type, and related multivariate distributions. This paper introduces the package and its key features, including the estimation of these distributions and their extensions through expectation-maximisation algorithms, as well as the implementation of regression through the proportional intensities and mixture-of-experts models. Additionally, the paper provides an overview of the theoretical background, discusses the algorithms and methods implemented in the package, and offers practical examples to illustrate the application of matrixdist in real-world actuarial problems. The matrixdist R package aims to provide researchers and practitioners a wide set of tools for analysing and modelling complex data using matrix distributions.
format Preprint
id arxiv_https___arxiv_org_abs_2101_07987
institution arXiv
publishDate 2021
record_format arxiv
spellingShingle matrixdist: An R Package for Statistical Analysis of Matrix Distributions
Bladt, Martin
Mueller, Alaric
Yslas, Jorge
Computation
The matrixdist R package provides a comprehensive suite of tools for the statistical analysis of matrix distributions, including phase-type, inhomogeneous phase-type, discrete phase-type, and related multivariate distributions. This paper introduces the package and its key features, including the estimation of these distributions and their extensions through expectation-maximisation algorithms, as well as the implementation of regression through the proportional intensities and mixture-of-experts models. Additionally, the paper provides an overview of the theoretical background, discusses the algorithms and methods implemented in the package, and offers practical examples to illustrate the application of matrixdist in real-world actuarial problems. The matrixdist R package aims to provide researchers and practitioners a wide set of tools for analysing and modelling complex data using matrix distributions.
title matrixdist: An R Package for Statistical Analysis of Matrix Distributions
topic Computation
url https://arxiv.org/abs/2101.07987