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It is demonstrated that probabilities for the distribution of the sample correlation coefficient, such as those given by David [2] can be quickly and accurately calculated on modern desk calculators.  相似文献   

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The distributions of coherent systems with components with exchangeable lifetimes can be represented as mixtures of distributions of order statistics (k-out-of-n systems) from possibly dependent samples by using the concept of the signature of Samaniego (1985 Samaniego , F. ( 1985 ). On closure of the IFR class under formation of coherent systems . IEEE Trans. Reliabil. R-34 : 6972 .[Crossref], [Web of Science ®] [Google Scholar]). This representation, together with Rychlik's (1993 Rychlik , T. ( 1993 ). Bounds for expectation of L-estimates for dependent samples . Statistics 24 : 17 .[Taylor & Francis Online] [Google Scholar]) results, can be used to obtain sharp bounds on the distribution (or the reliability) function and on the expected lifetime of the system. Also, this representation can be used to determine the asymptotic behavior of the hazard rate of the system when the order statistics are ordered in the hazard rate order. Moreover, the lifetime distributions of coherent systems (and in particular, of order statistics) can also be represented as generalized mixtures (that is, mixtures with some negative weights) of distributions of series system lifetimes by using the concept of the minimal signature defined by Navarro et al. (2007a Navarro , J. , Ruiz , J. M. , Sandoval , C. J. ( 2007a ). Properties of coherent systems with dependent components . Commun. Statist. Theory Methods 36 : 175191 .[Taylor & Francis Online], [Web of Science ®] [Google Scholar]). This representation can also be used to determine the final behavior of the hazard rate of the system through the behavior of the hazard rate of the series systems. In particular, it can be used to show that the order statistics are, under some conditions, asymptotically hazard rate ordered. However, in general, this result is not true, that is, the order statistics need not be hazard rate ordered.  相似文献   

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D. Morales  L. Pardo  I. Vajda 《Statistics》2013,47(2):151-174
Rényi statistics are considered in a directed family of general exponential models. These statistics are defined as Rényi distances between estimated and hypothetical model. An asymptotically quadratic approximation to the Rényi statistics is established, leading to similar asymptotic distribution results as established in the literature for the likelihood ratio statistics. Some arguments in favour of the Rényi statistics are discussed, and a numerical comparison of the Rényi goodness-of-fit tests with the likelihood ratio test is presented.  相似文献   

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Abstract

A method is demonstrated to compute the complete set of first moments of order statistics for an arbitrary distribution, given only the first moments of the maximal order statistics either for all even sample sizes, or for all odd samples sizes.  相似文献   

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In this note we consider the equality of the ordinary least squares estimator (OLSE) and the best linear unbiased estimator (BLUE) of the estimable parametric function in the general Gauss–Markov model. Especially we consider the structures of the covariance matrix V for which the OLSE equals the BLUE. Our results are based on the properties of a particular reparametrized version of the original Gauss–Markov model.   相似文献   

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This note represents a portion of the research that has been conducted using the Ohio State University's large kidney transplant database. Our latest results into understanding the impact of covariates on renal graft success including the impact of drug therapy are discussed.

The major result here is that using both the Cox model and Breiman's Random Forest Data Mining techniques has helped to unravel the mystery of the “induct” immunosuppressant covariate slipping in and out of the list of important variables. We also make the interesting observation that the Random Forest method seems to mimic the clinician's (R.P.) understanding of the importance of variables.  相似文献   

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ABSTRACT

Let us consider that the variance function or its νth derivative in a regression model has a change/discontinuity point at an unknown location. To use the local polynomial fits, the log-variance function which break the positivity is targeted. The location and the jump size of the change point are estimated based on a one-sided kernel-weighted local-likelihood function which is provided by the χ2-distribution. The whole structure of the log-variance function is then estimated using the data sets split by the estimated location. Asymptotic results of the proposed estimators are described. Numerical works demonstrate the performances of the methods with simulated and real examples.  相似文献   

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The three-parameter Weibull distribution is widely used in life testing and reliability analysis. In this article, we propose an efficient method for the estimation of parameters and quantiles of the three-parameter Weibull distribution, which avoids the problem of unbounded likelihood, by using statistics invariant to unknown location. Through a Monte Carlo simulation study, we show that the proposed method performs well compared to other prominent methods based on bias and MSE. Finally, we present two illustrative examples.  相似文献   

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We consider interval estimation of the stress–strength reliability in the two-parameter exponential distribution based on records. We constructed Bayesian intervals, Bootstrap intervals and intervals using the generalized pivot variable. A simulation study is conducted to investigate and compare the performance of the intervals in terms of their coverage probability and expected length. An example is given.  相似文献   

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Following Gart (1966) a test of significance for the odds ratio in a 2×2 table is developed based on a semi-empirical method of approximating discrete distributions by their continuous analogues. The distribution of the test statistic (W), the ratio of two independent F-variates, is derived. This approximate technique is compared with the "exact" test, uncorrected X test, and a normal approximation based on lnW.  相似文献   

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This editorial introduces the Special Issue “Advances in Structural Equation Modeling” which provides a snapshot of the different research activities performed by members of the working group “Structural Equation Modeling”. More specifically, this issue contains a selection of papers presented at the 2009 annual meeting in Berlin at Humboldt University.  相似文献   

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The familiar inequalities relating the arithmetic, geometric, and harmonic means are derived as corollaries to likelihood ratio tests.  相似文献   

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The effect of social mobility on the socioeconomic differential in mortality is examined with data from the Office for National Statistics Longitudinal Study. The analyses involve 46 980 men aged 45–64 years in 1981. The mortality risk of the socially mobile is compared with the mortality risk of the socially stable after adjustment for their class of origin (their social class in 1971) and class of destination (their social class in 1981) separately. Among those in employment there is some evidence that movement out of their class of origin is in the direction predicted by the idea of health-related social mobility. This evidence, however, seems strongest for causes of death which are least likely to have been preceded by prolonged incapacity. Movement into the class of destination, however, shows the opposite relationship with mortality. Compared with the socially stable members of their class of destination, the upwardly mobile tend to have higher mortality and the downwardly mobile tend to have lower mortality. This relationship with the class of destination, it is suggested, may explain why socioeconomic mortality differentials do not widen with increasing age.  相似文献   

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