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1.
In this paper, a chain ratio–product type estimators has been developed for estimating population mean of the study variable using two auxiliary variables under double sampling scheme, when the information on another additional auxiliary character is available along with the main auxiliary character. The optimum property of the proposed strategy has been identified in two different cases with their variances. Theoretical and empirical studies have been done to demonstrate the efficiency of the proposed estimator over other estimators, which utilized the information on two auxiliary characteristics.  相似文献   

2.
ABSTRACT

In this paper an attempt to estimate the current population mean in two-occasion successive sampling has been made. A modified regression-type estimator has been proposed. Optimum replacement strategy of the proposed estimator has been formulated. The proposed estimator is compared with sample mean estimator when there is no matching from the previous occasion and the optimum natural successive sampling estimator. Empirical studies are carried out and suitable recommendations have been made.  相似文献   

3.
Hyunju Lee 《Statistics》2017,51(5):1159-1178
Acceptance sampling plan has become an essential tool in the statistical quality control. Traditionally, most acceptance sampling plans have been developed for non-repairable items. Recently in Cha [Variables acceptance reliability sampling plan for repairable items. Statistics. 2015;49:1141–1156], variables acceptance reliability sampling plan for repairable items has been developed assuming that the failure process follows the non-homogeneous Poisson process (NHPP). In this paper, we assume that the failure process follows a new counting process which is a generalized version of the NHPP. Furthermore, it is shown that the developed sampling plan improves the reliability characteristic of the population of items which have passed the testing procedure. An illustrative example is also provided.  相似文献   

4.
In this study, an attempt has been made to improve the sampling strategy incorporating spatial dependency at estimation stage considering usual aerial sampling scheme, such as simple random sampling, when the underlying population is finite and spatial in nature. Using the distances between spatial units, an improved method of estimation, viz. spatial estimation procedure, has been proposed for the estimation of finite population mean. Further, rescaled spatial bootstrap (RSB) methods have been proposed for approximately unbiased estimation of variance of the proposed spatial estimator (SE). The properties of the proposed SE and its corresponding RSB methods were studied empirically through simulation.  相似文献   

5.
ABSTRACT

In this article, we consider a sampling scheme in record-breaking data set-up, as record ranked set sampling. We compare the proposed sampling with the well-known sampling scheme in record values known as inverse sampling scheme when the underlying distribution follows the proportional hazard rate model. Various point estimators are obtained in each sampling schemes and compared with respect to mean squared error and Pitman measure of closeness criteria. It is observed in most of the situations that the new sampling scheme provides more efficient estimators than their counterparts. Finally, one data set has been analyzed for illustrative purposes.  相似文献   

6.
In this paper, an optimization model is developed for the economic design of a rectifying inspection sampling plan in the presence of two markets. A product with a normally distributed quality characteristic with unknown mean and variance is produced in the process. The quality characteristic has a lower specification limit. The aim of this paper is to maximize the profit, which consists the Taguchi loss function, under the constraints of satisfying the producer's and consumer's risk in two different markets simultaneously. Giveaway cost per unit of sold excess material is considered in the proposed model. A case study is presented to illustrate the application of proposed methodology. In addition, sensitivity analysis is performed to study the effect of model parameters on the expected profit and optimal solution. Optimal process adjustment problem and acceptance sampling plan is combined in the economical optimization model. Also, process mean and standard deviation are assumed to be unknown value, and their impact is analyzed. Finally, inspection error is considered, and its impact is investigated and analyzed.  相似文献   

7.
The effect of serial correlation on acceptance sampling plans by variables has been examined in this paper assuming the quality measurements follow an AR(p) process. The effect of serial correlation can be examined by comparing OC curves, sample size and producer's risks, ∝, with that of the independent case when the process standard deviation, σ, is known. When σ is unknown and for large n, sampling plans can be constructed using the central limit theorem. However, for σ unknown and for small n, there is no satisfactory method of obtaining sampling plans.  相似文献   

8.
There are two generations of Gibbs sampling methods for semiparametric models involving the Dirichlet process. The first generation suffered from a severe drawback: the locations of the clusters, or groups of parameters, could essentially become fixed, moving only rarely. Two strategies that have been proposed to create the second generation of Gibbs samplers are integration and appending a second stage to the Gibbs sampler wherein the cluster locations are moved. We show that these same strategies are easily implemented for the sequential importance sampler, and that the first strategy dramatically improves results. As in the case of Gibbs sampling, these strategies are applicable to a much wider class of models. They are shown to provide more uniform importance sampling weights and lead to additional Rao-Blackwellization of estimators.  相似文献   

9.
In this paper, a multivariate Bayesian variable sampling interval (VSI) control chart for the economic design and optimization of statistical parameters is designed. Based on the VSI sampling strategy of a multivariate Bayesian control chart with dual control limits, the optimal expected cost function is constructed. The proposed model allows the determination of the scheme parameters that minimize the expected cost per time of the process. The effectiveness of the Bayesian VSI chart is estimated through economic comparisons with the Bayesian fixed sampling interval and the Hotelling's T2 chart. This study is an in-depth study on a Bayesian multivariate control chart with variable parameter. Furthermore, it is shown that significant cost improvement may be realized through the new model.  相似文献   

10.
Quality Measurement Plan (QMP) as developed by Hoadley (1981) is a statistical method for analyzing discrete quality audit data which consist of the expected number of defects given the standard quality. The QMP is based on an empirical Bayes (EB) model of the audit sampling process. Despite its wide publicity, Hoadley's method has often been described as heuristic. In this paper we offer an hierarchical Bayes (HB) alternative to Hoadley's EB model, and overcome much of the criticism against this model. Gibbs sampling is used to implement the HB model proposed in this paper. Also, the convergence of the Gibbs sampler is monitored via the algorithm of Gelman and Rubin (1992).  相似文献   

11.
In this paper we have proposed chain ratio type estimators for ratio of two population means using two auxiliary characters. The expressions for bias and mean square error of these estimators have been derived. A comparison of the proposed estimator with that of double sampling estimator has been made in terms of mean square error. An emperical study has also been made.  相似文献   

12.
ABSTRACT

The present work is an attempt to make use of several auxiliary variables at both the occasions for improving the precision of estimates at the current occasion on two occasions of successive sampling. Chain-type ratio estimator has been proposed for estimating the population mean at current occasion in two occasions rotation (successive) sampling. Theoretical properties of the proposed estimator have been investigated. The proposed estimator has been compared with simple mean estimator when there is no matching and with the ratio estimator in successive sampling when information is available on one auxiliary variable on both the occasions. Optimum replacement strategy has also been discussed. Theoretical results have been justified through empirical investigation.  相似文献   

13.
The idea of using non-constant sampling intervals has been of interest in quality control applications since it was first suggested for the “skip-lot sampling plan” of Dodge. Recent interest has focused on the use of variable sampling interval (VSI) control schemes. VSI control schemes use a short sampling interval is given  相似文献   

14.
Mangat and Singh (1990) have suggested a two stage randomized response technique to estimate the proportion of population possessing a sensitive attribute. The procedure was shown to be more efficient than the procedure due to Warner (1965). Recently, Tracy and Osahan (1993) have suggested a modification to the Mangat and Singh (1990) procedure which results in a more efficient strategy in practice. In this paper we propose a modification to the Tracy and Osahan (1993) procedure. The modified procedure is a generalization of Tracy and Osahan (1993) and is always more efficient than their strategy. An empirical study has also been undertaken to find the extent of relative efficiency.  相似文献   

15.
Supplier management plays an important role in the quality improvement process. Recently, supplier selection has received much attention in many production industries. In this paper, we propose a double sampling plan for selecting a better supplier comparing two suppliers with linear profiles. The difference test statistic based on the process yield index SpkA is used to determine the optimal parameters of the proposed double sampling plan. The efficiency of the proposed sampling plan is compared with the existing single sampling plan.  相似文献   

16.
The present article deals with some methods for estimation of finite populations means in the presence of linear trend among the population values. As a result, we provided a strategy for the selection of sampling interval k for the case of circular systematic sampling, which ensures better estimator for the population mean compared to other choices of the sampling interval. This has been established based on empirical studies. Further we more, applied multiple random starts methods for selecting random samples for the case of linear systematic sampling and diagonal systematic sampling schemes. We also derived the explicit expressions for the variances and their estimates. The relative performances of simple random sampling, linear systematic sampling and diagonal systematic sampling schemes with single and multiple random starts are also assessed based on numerical examples.  相似文献   

17.
A sequential procedure for a selection of the better of two trinomial populations has been proposed by ?idók (1988). The present paper shows some Monte Carlo results for 4 different strategies of sequential experimentation in this procedure, on this basis compares the strategies, and gives some practical recommendations for choosing the strategy.  相似文献   

18.
19.
In sampling inspection by variables, an item is considered defective if its quality characteristic Y falls below some specification limit L0. We consider switching to a new supplier if we can be sure that the proportion of defective items for the new supplier is smaller than the proportion defective for the present supplier.

Assume that Y has a normal distribution. A test for comparing these proportions is developed. A simulation study of the performance of the test is presented.  相似文献   

20.
The design of this paper is to examine the problem of estimation of finite population product in mail surveys for the current occasion in the context of sampling on two occasions is attempted when there is non-response on both the occasions. Estimators for the current occasion are derived as a particular case when there is non-response on first and second occasion only. The gain in efficiency of the proposed estimate over the direct estimate using no information gathered on the first occasion is computed. The proposed strategy has been compared with other estimators. An empirical study is carried out to study the performance of the proposed strategy.  相似文献   

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