Extreme Value Distributions: An Overview of Estimation and Simulation

  • Abdulali B
  • Abu Bakar M
  • Ibrahim K
  • et al.
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Abstract

The generalized extreme value distribution (GEVD) and various extreme value distributions are commonly applied in air pollution, telecommunications, operational risk management, finance, insurance, material sciences, economics, and hydrology, among many other industries that deal with extreme events. Extreme value distributions (EVDs) typically limit the distribution of maximum and minimum values for many random observations drawn from the same arbitrary distribution. Besides that, it is a crucial method for forecasting future events and emerged as critical method for predicting future events. As a result, prior research is required to select the best estimation method to obtain a reliable value for the parameters of extreme value distributions. This study provides an overview of three-parameter estimation methods based on goodness-of-fit statistics and root mean square error (RMSE). This paper reviewed and compared three estimation methods used to approximate values of parameters for simulated observations taken from the EVD and GEVD. The method of moments (MOMs), maximum likelihood estimator (MLE), and maximum product of spacing (MPS) were the methods investigated in this study. Our findings indicated that the MPS performed better based on the mean square errors (MSEs); meanwhile, the MPS had similar goodness-of-fit statistic values compared to the MLE.

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APA

Abdulali, B. A. A., Abu Bakar, M. A., Ibrahim, K., & Mohd Ariff, N. (2022). Extreme Value Distributions: An Overview of Estimation and Simulation. Journal of Probability and Statistics, 2022, 1–17. https://doi.org/10.1155/2022/5449751

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