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Data Analysis with R, Second Edition

You're reading from   Data Analysis with R, Second Edition A comprehensive guide to manipulating, analyzing, and visualizing data in R

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Product type Paperback
Published in Mar 2018
Publisher Packt
ISBN-13 9781788393720
Length 570 pages
Edition 2nd Edition
Languages
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Toc

Table of Contents (24) Chapters Close

Title Page
Copyright and Credits
Packt Upsell
Contributors
Preface
1. RefresheR FREE CHAPTER 2. The Shape of Data 3. Describing Relationships 4. Probability 5. Using Data To Reason About The World 6. Testing Hypotheses 7. Bayesian Methods 8. The Bootstrap 9. Predicting Continuous Variables 10. Predicting Categorical Variables 11. Predicting Changes with Time 12. Sources of Data 13. Dealing with Missing Data 14. Dealing with Messy Data 15. Dealing with Large Data 16. Working with Popular R Packages 17. Reproducibility and Best Practices 1. Other Books You May Enjoy Index

Exercises


Practice the following exercises to reinforce the concepts learned in this chapter:

  • Write a function that will take a vector holding MCMC samples for a parameter and plot a density curve depicting the posterior distribution and the 95% credible interval. Be careful of different scales on the y-axis.
  • Fitting a normal curve to an empirical distribution is conceptually easy, but not very robust. For distribution fitting that is more robust to outliers, it's common to use a t-distribution instead of the normal distribution, since the t has heavier tails. View the distribution of the shape attribute of the built-in rock dataset. Does this look normally distributed? Find the parameters of a normal curve that is a fit to the data. In JAGS, dt, the t-distribution density function, takes three parameters: the mean, the precision, and the degrees of freedom that controls the heaviness of the tails. Find the parameters after fitting a t-distribution to the data. Are the means similar? Which...
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