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1.
Reprinted by special permission of “The Iron Age”, this article describes how the statistical method used in control of product quality can be used as a technique for the control of accidents. Preliminary studies of this new approach indicate that it will aid materially in reducing accident rates, the authors declare.  相似文献   

2.
Halperin et al. (1988) suggested an approach which allows for k Type I errors while using Scheffe's method of multiple comparisons for linear combinations of p means. In this paper we apply the same type of error control to Tukey's method of multiple pairwise comparisons. In fact, the variant of the Tukey (1953) approach discussed here defines the error control objective as assuring with a specified probability that at most one out of the p(p-l)/2 comparisons between all pairs of the treatment means is significant in two-sided tests when an overall null hypothesis (all p means are equal) is true or, from a confidence interval point of view, that at most one of a set of simultaneous confidence intervals for all of the pairwise differences of the treatment means is incorrect. The formulae which yield the critical values needed to carry out this new procedure are derived and the critical values are tabulated. A Monte Carlo study was conducted and several tables are presented to demonstrate the experimentwise Type I error rates and the gains in power furnished by the proposed procedure  相似文献   

3.
统计数据质量评估方法研究述评   总被引:3,自引:3,他引:3  
数据质量评估是统计数据质量管理的重要环节。统计数据质量的评估方法有逻辑关系检验法、计量模型分析法、核算数据重估法、统计分布检验法、调查误差评估法以及多维评估法六个类别,在详细讨论其各自的评估过程、适用性及其优缺点的基础上,按照评估维度和评估方式对各种统计数据质量的评估方法进行再归类,指出评估方法的进一步研究应该围绕计量模型分析法、核算数据重估法中的物量指数重估法、调查误差评估法和多维评估法等方向展开。  相似文献   

4.
5.
In Statistics of Extremes, the estimation of parameters of extreme or even rare events is usually done under a semi-parametric framework. The estimators are based on the largest k-ordered statistics in the sample or on the excesses over a high level u. Although showing good asymptotic properties, most of those estimators present a strong dependence on k or u with high bias when the k increases or the level u decreases. The use of resampling methodologies has revealed to be promising in the reduction of the bias and in the choice of k or u. Different approaches for resampling need to be considered depending on whether we are in an independent or in a dependent setup. A great amount of investigation has been performed for the independent situation. The main objective of this article is to use bootstrap and jackknife methods in the context of dependence to obtain more stable estimators of a parameter that appears characterizing the degree of local dependence on extremes, the so-called extremal index. A simulation study illustrates the application of those methods.  相似文献   

6.
Problems involving estimation and inference under linear inequality constraints arise often in statistical modeling. In this article, we propose an algorithm to solve the quadratic programming problem of minimizing for positive definite Q, where is constrained to be in a closed polyhedral convex cone , and the m × n matrix is not necessarily full row rank. The three-step algorithm is intuitive and easy to code. Code is provided in the R programming language.  相似文献   

7.
We show that the linear process bootstrap (LPB) and the autoregressive sieve bootstrap (AR sieve) are, in general, not valid for statistics whose large-sample distribution depends on moments of order higher than two, irrespective of whether the data come from a linear time series or not. Inspired by the block-of-blocks bootstrap, we circumvent this non-validity by applying the LPB and AR sieve to suitably blocked data and not to the original data itself. In a simulation study, we compare the LPB, AR sieve, and moving block bootstrap applied directly and to blocked data.  相似文献   

8.
This article computes simultaneous confidence intervals for the ratios of marginal means of a multivariate Poisson distribution. For this, we propose a lognormal approximation technique and a bootstrap method. We demonstrate advantages of the proposed methods over existing ones through a simulation study. To illustrate their applicability to real-world problems, we apply the proposed methods to US data on infectious diseases.  相似文献   

9.
Procedures for determining the dimensionality of the hyperplane containing the mean vectors in the m-group multivariate analysis of variance set-up are compared in a computer study.  相似文献   

10.
The small-sample behaviour of power-divergence goodness-of-fit statistics with composite hypotheses was evaluated with multinomial models of up to five cells and up to three parameters. Their performance was assessed by comparing asymptotic test sizes with exact test sizes obtained by enumeration in the near right tail, where 1-?∈?(0.90,?0.95], and in the far right tail, where 1-?∈?(0.95,?0.99]. The study addressed all combinations of power-diparse JAS312HH01.sgmvergence estimates of indices ν?∈?{-1/2,?0,?1/3,?1/2,?2/3,?1,?3/ 2} and power-divergence statistics of indices λ?∈?{-1/2,?0,?1/3,?1/2,?2/3,?1,?3/2}. The results indicate that the asymptotic approximation is sufficiently accurate (by the criterion that the average exact size is no larger than ±10% of the nominal asymptotic test size) in the near right tail when ν=0 and λ=1/2, and in the far right tail when ν=0 and λ=1/3, in both cases providing that the smallest expectation in the composite hypothesis exceeds 5. The only exception to this rule is the case of models that render a near-equiprobable composite hypothesis on the boundaries of the parameter space, where average exact sizes are usually quite different from nominal sizes despite the fact that the smallest expectation in these conditions is usually well above 5.  相似文献   

11.
 回顾改革开放以来我国财经类院校统计学专业本科课程设置的历史变迁,由此侧面反映我国统计教育不断发展完善的过程,并结合实际分析财经类院校统计学专业本科课程设置未来的发展方向,提出相关建议,以期促进新形势下我国统计教育水平的不断提高。  相似文献   

12.
LetX 1,…,X p be p(≥2)independent random variables, where each X.has a distribution belonging to a one parameter truncated power series

distribution. The problem is to estimate simultaneously the unknown parameters under asymmetric loss developed by James and Stein (Proc. Fourth Berkeley Symp. Math. Statist. Prob. 1, 361-380). Several new classes of dominating estimators are obtained by solving a certain difference inequality.  相似文献   

13.
文章针对正态分布数据,对比Traditional方法、Bootstrap方法和MCMC方法在两侧面交叉设计(p×i×h)和两侧面嵌套设计(p×(i:h))下各个方差分量的估计精度,为实际应用提供参考。使用R软件模拟1000批数据,并在R软件上实现三种方法的方差分量及其变异量估计。结果表明:(1)相较于Traditional方法和MCMC方法,相同条件下,Bootstrap方法估计的方差分量及其变异量结果更为理想;(2)对于两侧面交叉设计和两侧面嵌套设计,在正态分布数据下,建议优先使用Bootstrap方法。  相似文献   

14.
In this paper, we consider a mixed compound Poisson process, that is, a random sum of independent and identically distributed (i.i.d.) random variables where the number of terms is a Poisson process with random intensity. We study nonparametric estimators of the jump density by specific deconvolution methods. Firstly, assuming that the random intensity has exponential distribution with unknown expectation, we propose two types of estimators based on the observation of an i.i.d. sample. Risks bounds and adaptive procedures are provided. Then, with no assumption on the distribution of the random intensity, we propose two non‐parametric estimators of the jump density based on the joint observation of the number of jumps and the random sum of jumps. Risks bounds are provided, leading to unusual rates for one of the two estimators. The methods are implemented and compared via simulations.  相似文献   

15.
For a sample from a given distribution the difference of two order statistics and the Studentized quantile are statistics whose distribution is needed to obtain tests and confidence intervals for quantiles and quantile differences. This paper gives saddlepoint approximations for densities and saddlepoint approximations of the Lugannani–Rice form for tail probabilities of these statistics. The relative errors of the approximations are n −1 uniformly in a neighbourhood of the parameters and this uniformity is global if the densities are log-concave.  相似文献   

16.
In this article, we obtain expressions for the pdf of a single concomitant of order statistic and the joint pdf of a pair of concomitants of order statistics of independent non identically distributed random variables. Using these expressions, we find the means, variances and covariances of order statistics arising from independent non identically distributed bivariate Pareto distributions. A method of estimation of a common parameter involved in several bivariate Pareto distributions using concomitants of order statistics is also discussed.  相似文献   

17.
In his 1999 article with Breusch, Qian, and Wyhowski in the Journal of Econometrics, Peter Schmidt introduced the concept of “redundant” moment conditions. Such conditions arise when estimation is based on moment conditions that are valid and can be divided into two subsets: one that identifies the parameters and another that provides no further information. Their framework highlights an important concept in the moment-based estimation literature, namely, that not all valid moment conditions need be informative about the parameters of interest. In this article, we demonstrate the empirical relevance of the concept in the context of the impact of government health expenditure on health outcomes in England. Using a simulation study calibrated to this data, we perform a comparative study of the finite performance of inference procedures based on the Generalized Method of Moment (GMM) and info-metric (IM) estimators. The results indicate that the properties of GMM procedures deteriorate as the number of redundant moment conditions increases; in contrast, the IM methods provide reliable point estimators, but the performance of associated inference techniques based on first order asymptotic theory, such as confidence intervals and overidentifying restriction tests, deteriorates as the number of redundant moment conditions increases. However, for IM methods, it is shown that bootstrap procedures can provide reliable inferences; we illustrate such methods when analysing the impact of government health expenditure on health outcomes in England.  相似文献   

18.
In this study, new unbiased and nonlinear estimators based on order statistics are proposed for the family of symmetric location-scale distributions and these estimators can be computed from both uncensored and symmetric doubly Type II censored samples. In addition, other relevant unbiased estimators are proposed to estimate standard deviations of these new estimators. A simulation study has been performed to evaluate the performance of the new estimators compared to BLU estimators for small sample sizes. As a result of the simulation study, the new estimators proposed for the location-scale family in general performed nearly as good as BLU estimators. Furthermore, the computational advantage of the proposed estimators over BLU and ML estimators are worthy of notice. In addition, these new estimators have been applied to real data, and the estimation results obtained have been compatible with those of BLUE methods.  相似文献   

19.
Moment estimators for parameters in a truncated bivariate Poisson distribution are derived in Hamdan (1972) for the special case of λ1 = λ2, Where λ1, λ2 are the marginal means. Here we derive the maximum likelihood estimators for this special case. The information matrix is also obtained which provides asymptotic covariance matrix of the maximum likelihood estimators. The asymptotic covariance matrix of moment estimators is also derived. The asymptotic efficiency of moment estimators is computed and found to be very low.  相似文献   

20.
Although the semilogarithmic chart is one of the most effective, adaptable, and dependable graphic forms, it has been subject to neglect and indifference by contemporary chart makers. At the present time, a large proportion of chart makers are simply not aware of the distinctive qualities and unusual potentials of the semilogarithmic chart. In addition to discussions of the characteristics, applications, interpretation, advantages, and disadvantages of the semilogarithmic chart, actual cases of ill-chosen graphic forms and substandard charts are analyzed and compared, which clearly demonstrates the superiority of the semilogarithmic chart for many purposes.  相似文献   

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