Frequently, it is of interest to derive estimates of the sampling variance for functions of parameters you estimate with MARK (e.g., variance of an estimate of the product of several consecutive survival values). A common approach to doing so makes use of what is known as the Delta method.
Since the basic question of "what is the Delta method?', or 'How do I use the Delta method?' comes up often enough, I've cobbled together a new appendix (Appendix B) which gives the basic details. The appendix is in 'late draft' stage, but I've decided to put it online now to let users help me with the 'debugging'.
I've also finished a rebuild of the entire book - a number of chapters have had minor tweaks - mostly bug fixes (typos here and there...), so if its been >2 months since you last downloaded the book (current version is ~450 pages), I'd suggest now is a good time to do so.