Estimating Distribution Functions with Smoothing Splines

The scope is to smooth the empirical distribution function of a random sample by minimizing a penalized sum of squared errors. The spline, which is the solution to this problem, is studied via the eigenvalue structure of the random matrices ocurring in its representation


Year:
1999
Keywords:
Laboratories:




 Record created 2006-04-04, last modified 2018-03-17


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