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This paper discusses the role of statistics within an interdisciplinary program on real problem solving in elementary schools (through grade 8). We first describe some general features of the USMES (Unified Science and Mathematics for Elementary Schools) curriculum and some situations where the application of statistical principles and techniques can enter the program. Then we present our ideas concerning the kinds of statistical methods that are appropriate in this environment, and we discuss the use of this material with both elementary school students and elementary  相似文献   

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The utilization of DNA evidence in cases of forensic identification has become widespread over the last few years. The strength of this evidence against an individual standing trial is typically presented in court in the form of a likelihood ratio (LR) or its reciprocal (the profile match probability). The value of this LR will vary according to the nature of the genetic relationship between the accused and other possible perpetrators of the crime in the population. This paper develops ideas and methods for analysing data and evaluating LRs when the evidence is based on short tandem repeat profiles, with special emphasis placed on a Bayesian approach. These are then applied in the context of a particular quadruplex profiling system used for routine case-work by the UK Forensic Science Service.  相似文献   

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成人高等教育作为我国高等教育的重要组成部分,其各门学科的教学改革除了应遵循高等教育改革的一般规律与要求外,还应有自身的特殊规律与要求。本文通过对其特殊性的理性分析,提出成人非统计专业统计学教学应加强统计观念教育、统计法律与道德教育,并加强统计基本理论与方法的教学与改革。  相似文献   

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Beginning with the 75th Anniversary of the American Statistical Association in 1914 and for subsequent 25-year celebrations, distinguished members of the association have addressed the future of statistics. A four-person panel engaged in the same exercise during the 2014 Joint Statistical Meetings for the ASA's dodransbicentennial. The panel identified a variety of strengths, weaknesses, opportunities, and threats for the profession in the next quarter of a century. This article highlights some of the discussion that took place.  相似文献   

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The kind of statistical material taught to l6-l8 year olds in English Schools is reviewed, largely through the type of examination questions set on it. The conceptual difficulties arediscussed and a teaching scheme which would take into account the limitations in the experience of this age group is proposed, discussed and a teaching scheme which would take into account the limitations in the experience of this age group is proposed  相似文献   

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In this article, necessary conditions for comparing order statistics from distributions with regularly varying tails are discussed in terms of various stochastic orders. A necessary and sufficient condition for stochastically comparing tail behaviors of order statistics is derived. The main results generalize and recover some results in Kleiber (2002 Kleiber, C. (2002). Variability ordering of heavy-tailed distributions with applications to order statistics. Statist. Probab. Lett. 58:381388.[Crossref], [Web of Science ®] [Google Scholar], 2004 Kleiber, C. (2004). Lorenz ordering of order statistics from log-logistic and related distributions. J. Statist. Plann. Infer. 120:2004.[Crossref], [Web of Science ®] [Google Scholar]). Extensions to coherent systems are mentioned as well.  相似文献   

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Mixtures of truncated exponentials (MTE) potentials are an alternative to discretization and Monte Carlo methods for solving hybrid Bayesian networks. Any probability density function (PDF) can be approximated by an MTE potential, which can always be marginalized in closed form. This allows propagation to be done exactly using the Shenoy-Shafer architecture for computing marginals, with no restrictions on the construction of a join tree. This paper presents MTE potentials that approximate standard PDF’s and applications of these potentials for solving inference problems in hybrid Bayesian networks. These approximations will extend the types of inference problems that can be modelled with Bayesian networks, as demonstrated using three examples.  相似文献   

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This article considers the objective Bayesian testing in the normal regression models with first-order autoregressive residuals. We propose some solutions based on a Bayesian model selection procedure to this problem where no subjective input is considered. We construct the proper priors for testing the autocorrelation coefficient based on measures of divergence between competing models, which is called the divergence-based (DB) priors and then propose the objective Bayesian decision-theoretic rule, which is called the Bayesian reference criterion (BRC). Finally, we derive the intrinsic test statistic for testing the autocorrelation coefficient. The behavior of the Bayes factor-based DB priors is examined by comparing with the BRC in a simulation study and an example.  相似文献   

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Statistical meta‐analysis is mostly carried out with the help of the random effect normal model, including the case of discrete random variables. We argue that the normal approximation is not always able to adequately capture the underlying uncertainty of the original discrete data. Furthermore, when we examine the influence of the prior distributions considered, in the presence of rare events, the results from this approximation can be very poor. In order to assess the robustness of the quantities of interest in meta‐analysis with respect to the choice of priors, this paper proposes an alternative Bayesian model for binomial random variables with several zero responses. Particular attention is paid to the coherence between the prior distributions of the study model parameters and the meta‐parameter. Thus, our method introduces a simple way to examine the sensitivity of these quantities to the structure dependence selected for study. For illustrative purposes, an example with real data is analysed, using the proposed Bayesian meta‐analysis model for binomial sparse data. Copyright © 2016 John Wiley & Sons, Ltd.  相似文献   

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In this article, we derive exact expressions for the single and product moments of order statistics from Weibull distribution under the contamination model. We assume that X1, X2, …, Xn ? p are independent with density function f(x) while the remaining, p observations (outliers) Xn ? p + 1, …, Xn are independent with density function arises from some modified version of f(x), which is called g(x), in which the location and/or scale parameters have been shifted in value. Next, we investigate the effect of the outliers on the BLUE of the scale parameter. Finally, we deduce some special cases.  相似文献   

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This article is aimed at reviewing a novel Bayesian approach to handle inference and estimation in the class of generalized nonlinear models. These models include some of the main techniques of statistical methodology, namely generalized linear models and parametric nonlinear regression. In addition, this proposal extends to methods for the systematic treatment of variation that is not explicitly predicted within the model, through the inclusion of random effects, and takes into account the modeling of dispersion parameters in the class of two-parameter exponential family. The methodology is based on the implementation of a two-stage algorithm that induces a hybrid approach based on numerical methods for approximating the likelihood to a normal density using a Taylor linearization around the values of current parameters in an MCMC routine.  相似文献   

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We derive Bayesian interval estimators for the differences in the true positive rates and false positive rates of two dichotomous diagnostic tests applied to the members of two distinct populations. The populations have varying disease prevalences with unverified negatives. We compare the performance of the Bayesian credible interval to the Wald interval using Monte Carlo simulation for a spectrum of different TPRs, FPRs, and sample sizes. For the case of a low TPR and low FPR, we found that a Bayesian credible interval with relatively noninformative priors performed well. We obtain similar interval comparison results for the cases of a high TPR and high FPR, a high TPR and low FPR, and of a high TPR and mixed FPR after incorporating mildly informative priors.  相似文献   

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The authors propose a quasi‐likelihood approach analogous to two‐way analysis of variance for the estimation of the parameters of generalized linear mixed models with two components of dispersion. They discuss both the asymptotic and small‐sample behaviour of their estimators, and illustrate their use with salamander mating data.  相似文献   

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