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1.
An account to extreme value theory for progressively Type-II censored order statistics is presented which enables us to handle limit laws for upper and lower extreme, intermediate and central progressively Type-II censored order statistics within one framework. We illustrate that the extreme value analysis for progressively Type-II censored order statistics is connected to limit laws for sums of independent but not-identically distributed exponential random variables. Moreover, we show that the limits are transformations of extreme value distributions and illustrate the connection to extreme value analysis for order statistics.  相似文献   

2.
We derive closed form expressions for the first two moments of order statistics from the sine distribution. For the higher moments, a recurrence relation is given. We also give a recurrence relation for the product moments. These relations will be useful for moment computations based on ordered data.  相似文献   

3.
4.
In this work, we propose a technique of estimating the location parameter μ and scale parameter σ of Type-I generalized logistic distribution by U-statistics constructed by using best linear functions of order statistics as kernels. The efficiency comparison of the proposed estimators with respect to maximum likelihood estimators is also made.  相似文献   

5.
ABSTRACT

We present sharp bounds for expectations of generalized order statistics with random indices. The bounds are expressed in terms of logarithmic moments E X a (log max {1, X}) b of the underlying observation X. They are attainable and provide characterizations of some non trivial distributions. No restrictions are imposed on the parameters of the generalized order statistics model.  相似文献   

6.
Approximate expressions of the first moment of the order statistics of standard extreme value distributions are proposed. We compare different previously given approximations with the exact values. The results show that the approximation given here fits the exact values better than previously given models.  相似文献   

7.
The aim of this article is to emphasize the fact, not observed previously in the literature, that many discrepancy measures used in tests related to different stochastic orders can be expressed as expectations of order statistics. In this way, we provide a new meaning to the corresponding test statistics which allows us to understand better, and potentially improve, the testing procedures. As illustration, we consider tests to detect overdispersion with respect to a specific probability model. In this setting, a test for the Weibull distribution is discussed in detail.  相似文献   

8.
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   

9.
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   

10.
Statistics for Extreme Sea Currents   总被引:1,自引:0,他引:1  
Estimates of various characteristics of extreme sea currents, such as speeds and their directions, are required when designing offshore structures. This paper extends standard statistical methods for extreme values to handle the directionality, temporal dependence and tidal non-stationarity that are present in sea current extremes. The methods are applied to a short period of data from the Inner Dowsing Light Tower in the North Sea. Substantial benefits, over existing methods, are obtained from our analysis of the sea current by decomposing it into tide and surge currents. In particular, we find that at the Inner Dowsing the strong directionality in extreme sea current speeds is completely explained by the tidal current and directionality in the non-extreme surge currents. This finding aids model fitting and extrapolation.  相似文献   

11.
ABSTRACT

The study of r-out-of-n systems is of utmost importance in reliability theory. In this note, we study closure of different partial orders under the formation of r-out-of-N and (N ? s)-out-of-N systems when the number of components N, forming the system, is a random variable having support {k, k + 1,…}, where k is a fixed positive integer, r ∈ {1,…, k} and s ∈ {0, 1,…, k ? 1}. This generalizes quite a few results already known in the literature. We also study the closure of different partial orders when two systems are formed out of different random number of components.  相似文献   

12.
In reliability studies, one typically would assume a lifetime distribution for the units under study and then carry out the required analysis. One popular choice for the lifetime distribution is the family of two-parameter Weibull distributions (with scale and shape parameters) which, through a logarithmic transformation, can be transformed to the family of two-parameter extreme value distributions (with location and scale parameters). In carrying out a parametric analysis of this type, it is highly desirable to be able to test the validity of such a model assumption. A basic tool that is useful for this purpose is a quantile–quantile (QQ) plot, but in its use, the issue of the choice of plotting position arises. Here, by adopting the optimal plotting points based on Pitman closeness criterion proposed recently by Balakrishnan et al. (2010b Balakrishnan , N. , Davies , K. F. , Keating , J. P. , Mason , R. L. ( 2010b ). Computation of optimal plotting points based on Pitman Closeness with an application to goodness of fit for location-scale families. Submitted to Computational Statistics & Data Analysis.  [Google Scholar]), and referred to as simultaneous closeness probability (SCP) plotting points, we propose a correlation-type goodness of fit test for the extreme value distribution. We compute the SCP plotting points for various sample sizes and use them to determine the mean, standard deviation and critical values for the proposed correlation-type test statistic. Using these critical values, we carry out a power study, similar to the one carried out by Kinnison (1989 Kinnison , R. ( 1989 ). Correlation coefficient goodness of fit test for extreme value distribution . The American Statistician 43 : 98100 .[Taylor & Francis Online], [Web of Science ®] [Google Scholar]), through which we demonstrate that the use of SCP plotting points results in better power than with the use of mean ranks as plotting points and nearly the same power as with the use of median ranks. We then demonstrate the use of the SCP plotting points and the associated correlation-type test for Weibull analysis with an illustrative example. Finally, for the sake of comparison, we also adapt two statistics proposed by Gan and Koehler (1990 Gan , F. F. , Koehler , K. J. ( 1990 ). Goodness of fit based on P-P probability plots . Technometrics 32 : 289303 .[Taylor & Francis Online], [Web of Science ®] [Google Scholar]), in the context of probability–probability (PP) plots, based on SCP plotting points and compare their performance to those based on mean ranks. The empirical study also reveals that the tests from the QQ plot have better power than those from the PP plot.  相似文献   

13.
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   

14.
In this article, Pitman closeness of sample order statistics to population quantiles of a location-scale family of distributions is discussed. Explicit expressions are derived for some specific families such as uniform, exponential, and power function. Numerical results are then presented for these families for sample sizes n = 10,15, and for the choices of p = 0.10, 0.25, 0.75, 0.90. The Pitman-closest order statistic is also determined in these cases and presented.  相似文献   

15.
In this article, by using the dropping argument, a general recurrence relation satisfied by the joint cumulative distribution functions of order statistics from any arbitrary bivariate distribution function is established. This recurrence relation is the first bivariate version of the basic triangle rule for order statistics arisen from univariate distribution function. Finally, this relation is extended to the trivariate case. These lead to similar identities for product moments (of any order) of order statistics.  相似文献   

16.
With linear dispersion effects, the standard factorial designs are not optimal estimation of a mean model. A sequential two-stage experimental design procedure has been proposed that first estimates the variance structure, and then uses the variance estimates and the variance optimality criterion to develop a second stage design that efficiency estimates the mean model. This procedure has been compared to an equal replicate design analyzed by ordinary least squares, and found to be a superior procedure in many situations.

However with small first stage sample sizes the variance estiamtes are not reliable, and hence an alternative procedure could be more beneficial. For this reason a Bayesian modification to the two-stage procedure is proposed which will combine the first stage variance estiamtes with some prior variance information that will produce a more efficient procedure. This Bayesian procedure will be compared to the non-Bayesian twostage procedure and to the two one-stage alternative procedures listed above. Finally, a recommendation will be made as to which procedure is preferred in certain situations.  相似文献   

17.
In this paper we give a class of row-column designs with the property that the i-th row and the j-th column have precisely r treatments in common. A conjecture that such designs are quasi-factorial is disproved by showing that the designs given in this paper are not quasi-factorial. It is also shown that the designs given here are nearly optimal.  相似文献   

18.
In this article, we address the similarity structure between pairs of order statistics of an identically distributed independent random variables X1,…, Xn. The overlapping coefficient (Δ) of Weitzman (1970 Weitzman , M. S. ( 1970 ). Measures of overlap of income distributions of white and Negro families in the United States . Technical Paper No. 22 , Washington , D.C. , U.S.A : Department of Commerce, Bureau of Census . [Google Scholar]), is used to assess the degree of similarity or closeness between pairs of order statistics. It appears that the degree of the similarity between any of such pairs is independent of the parent distribution. Using this notion, it is shown that for i < j, the degree of similarity between distributions of the ith and the jth order statistics decreases as i and j sunder. Some possible biometric applicability of the value of Δ are explored. In particular, the use of this measure in estimation of the number of possible strata, subgroups or natural subdivisions in a population are suggested.  相似文献   

19.
We determine sharp bounds for the expectations of the first and second and last order statistics for the i.i.d. samples from the increasing density and failure rate populations. These bounds are expressed by means of the population mean and standard deviation. The results are determined by use of the projections of elements of Hilbert spaces onto convex cones.  相似文献   

20.
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