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1.
This article introduces a new method, M-Bayesian credible limit method, to estimate reliability derived from binomial distribution, in the case of zero-failure data. Firstly, the definition of one-sided and two-sided M-Bayesian credible limits are provided, and moreover, formulas of one-sided and two-sided M-Bayesian credible limits are also provided. secondly, properties of one-sided and two-sided M-Bayesian credible limits are discussed, and we will see that the M-Bayesian credible limit method is superior to the corresponding classical confidence limit method. Finally, the new estimation method is applied to a numerical example. Through the example the efficiency and easiness of operation of this method are commended.  相似文献   

2.
ABSTRACT

In this article, a new three-parameter asymmetric Laplace distribution and its extension are introduced. This includes as special case the symmetric Laplace double-exponential distribution. The distribution has established a direct link to estimation of quantile and quantile regression. Properties of the new distribution are presented. Application is made to a flood data modeling example.  相似文献   

3.
In this article, we consider a modified version of logarithmic series distribution and study some of its properties. The maximum likelihood estimation of the parameters of the modified distribution is discussed and the distribution has been fitted to certain real life data sets. Tests are also carried out for justifying the significance of the additional parameter of the modified distribution.  相似文献   

4.
ABSTRACT

The binomial exponential 2 (BE2) distribution was proposed by Bakouch et al. as a distribution of a random sum of independent exponential random variables, when the sample size has a zero truncated binomial distribution. In this article, we introduce a generalization of BE2 distribution which offers a more flexible model for lifetime data than the BE2 distribution. The hazard rate function of the proposed distribution can be decreasing, increasing, decreasing–increasing–decreasing and unimodal, so it turns out to be quite flexible for analyzing non-negative real life data. Some statistical properties and parameters estimation of the distribution are investigated. Three different algorithms are proposed for generating random data from the new distribution. Two real data applications regarding the strength data and Proschan's air-conditioner data are used to show that the new distribution is better than the BE2 distribution and some other well-known distributions in modeling lifetime data.  相似文献   

5.
讨论了函数性数据与微分方程的关系以及微分方程系数函数的估计方法。利用函数性数据的微分方程分析方法对中国及中美日三国GDP增长的波动特征、中国31个省份GDP增长速度的时段差异特征,以及投资率与经济增长速度之间的关系进行了分析。结果显示,微分方程分析方法不但能够很好地刻画经济变量的动态演变规律和波动特征,而且能够对多观察对象之间的差异以及多个经济变量之间的关系进行动态刻画和展示,易于对其进行经济解释。  相似文献   

6.
ABSTRACT

In this article, we derive a general class of distributions and establish its relationship to χ2 distribution. The proposed class includes normal, inverse Gaussian, lognormal, gamma, Rayleigh, and Maxwell distributions. Various statistical properties of the class are discussed. Some applications of the class are given.  相似文献   

7.
In this paper, we estimate multicomponent stress-strength reliability by assuming Burr-XII distribution. The research methodology adopted here is to estimate the parameter using maximum likelihood estimation. Reliability is estimated using the maximum likelihood method of estimation and results are compared using the Monte Carlo simulation for small samples. Using real data sets we illustrate the procedure clearly.  相似文献   

8.
We introduce a new class of flexible hazard rate distributions which have constant, increasing, decreasing, and bathtub-shaped hazard function. This class of distributions obtained by compounding the power and exponential hazard rate functions, which is called the power-exponential hazard rate distribution and contains several important lifetime distributions. We obtain some distributional properties of the new family of distributions. The estimation of parameters is obtained by using the maximum likelihood and the Bayesian methods under squared error, linear-exponential, and Stein’s loss functions. Also, approximate confidence intervals and HPD credible intervals of parameters are presented. An application to real dataset is provided to show that the new hazard rate distribution has a better fit than the other existing hazard rate distributions and some four-parameter distributions. Finally , to compare the performance of proposed estimators and confidence intervals, an extensive Monte Carlo simulation study is conducted.  相似文献   

9.
We generalize some of the existing results on characterization of continuous distributions by lower bound on the variance and point out their equivalence to characterization of life distributions by relationship between conditional expectation and failure (reversed failure) rate. It is shown that these lower bounds are the same as, Cramer–Rao bound in the regular case and improves upon the latter in the non-regular case. Some applications to reliability modeling and catastrophe theory are pointed out.  相似文献   

10.
Censored data arise naturally in a number of fields, particularly in problems of reliability and survival analysis. There are several types of censoring, in this article, we will confine ourselves to the right randomly censoring type. Recently, Ahmadi et al. (2010 Ahmadi , J. , Doostparast , M. , Parsian , A. ( 2010 ). Bayes estimation based on random censored data for some life time models under symmetric and asymmetric loss functions . Communcations in Statistics-Theory and Methods , 39 : 30583071 .[Taylor & Francis Online], [Web of Science ®] [Google Scholar]) considered the problem of estimating unknown parameters in a general framework based on the right randomly censored data. They assumed that the survival function of the censoring time is free of the unknown parameter. This assumption is sometimes inappropriate. In such cases, a proportional odds (PO) model may be more appropriate (Lam and Leung, 2001 Lam , K. F. , Leung , T. L. ( 2001 ). Marginal likelihood estimation for proportional odds models with right censored data . Lifetime Data Analysis 7 : 3954 .[Crossref], [PubMed], [Web of Science ®] [Google Scholar]). Under this model, in this article, point and interval estimations for the unknown parameters are obtained. Since it is important to check the adequacy of models upon which inferences are based (Lawless, 2003 Lawless , J. F. (2003). Statistical Models and Methods for Lifetime Data. , 2nd ed. New York : John Wiley & Sons. [Google Scholar], p. 465), two new goodness-of-fit tests for PO model based on right randomly censored data are proposed. The proposed procedures are applied to two real data sets due to Smith (2002 Smith , P. J. ( 2002 ). Analysis of Failure and Survival Data . London : Chapman & Hall, CRC . [Google Scholar]). A Monte Carlo simulation study is conducted to carry out the behavior of the estimators obtained.  相似文献   

11.
In this paper, we study the performance of a soccer player based on analysing an incomplete data set. To achieve this aim, we fit the bivariate Rayleigh distribution to the soccer dataset by the maximum likelihood method. In this way, the missing data and right censoring problems, that usually happen in such studies, are considered. Our aim is to inference about the performance of a soccer player by considering the stress and strength components. The first goal of the player of interest in a match is assumed as the stress component and the second goal of the match is assumed as the strength component. We propose some methods to overcome incomplete data problem and we use these methods to inference about the performance of a soccer player.  相似文献   

12.
为解决灰色异构数据的建模问题,应用"核和灰度"对灰色异构数据代数运算法则及其性质展开研究。将灰信息表征为"核和灰度",通过"核"将灰色异构数据代数运算转换为实数之间代数运算,根据灰度不减公理确定运算结果之灰度,在此基础上构建灰色异构数据的代数运算法则,并将该法则应用于灰色异构数据预测模型的构建及空气质量指数(AQI)的预测。研究成果对丰富与完善灰色系统基础理论具有积极意义。  相似文献   

13.
Decision making is a critical component of a new drug development process. Based on results from an early clinical trial such as a proof of concept trial, the sponsor can decide whether to continue, stop, or defer the development of the drug. To simplify and harmonize the decision‐making process, decision criteria have been proposed in the literature. One of them is to exam the location of a confidence bar relative to the target value and lower reference value of the treatment effect. In this research, we modify an existing approach by moving some of the “stop” decision to “consider” decision so that the chance of directly terminating the development of a potentially valuable drug can be reduced. As Bayesian analysis has certain flexibilities and can borrow historical information through an inferential prior, we apply the Bayesian analysis to the trial planning and decision making. Via a design prior, we can also calculate the probabilities of various decision outcomes in relationship with the sample size and the other parameters to help the study design. An example and a series of computations are used to illustrate the applications, assess the operating characteristics, and compare the performances of different approaches.  相似文献   

14.
This article proposes a class of multivariate bilateral selection t distributions useful for analyzing non-normal (skewed and/or bimodal) multivariate data. The class is associated with a bilateral selection mechanism, and it is obtained from a marginal distribution of the centrally truncated multivariate t. It is flexible enough to include the multivariate t and multivariate skew-t distributions and mathematically tractable enough to account for central truncation of a hidden t variable. The class, closed under linear transformation, marginal, and conditional operations, is studied from several aspects such as shape of the probability density function, conditioning of a distribution, scale mixtures of multivariate normal, and a probabilistic representation. The relationships among these aspects are given, and various properties of the class are also discussed. Necessary theories and two applications are provided.  相似文献   

15.
基于核密度估计方法,给出居民收入分布变迁测度及其影响因素分解的相对收入分布方法。使用中国健康和营养调查的微观居民收入数据,实证分析中国居民收入分布及其变迁的特征、过程及其影响因素。实证结果显示:中国居民收入分布变迁的速度与经济体制改革进程相对应;经济增长因素是引起居民收入分布变迁的主要因素,在提高总体居民收入水平的同时加剧了居民收入分布的极化程度;收入分配因素对居民收入分布变迁的作用相对较弱,但有一定的减贫或缩小居民收入差距作用。  相似文献   

16.
In this article, we discuss how to identify longitudinal biomarkers in survival analysis under the accelerated failure time model and also discuss the effectiveness of biomarkers under the accelerated failure time model. Two methods proposed by Shcemper et al. are deployed to measure the efficacy of biomarkers. We use simulations to explore how the factors can influence the power of a score test to detect the association of a longitudinal biomarker and the survival time. These factors include the functional form of the random effects from the longitudinal biomarkers, in the different number of individuals, and time points per individual. The simulations are used to explore how the number of individuals, the number of time points per individual influence the effectiveness of the biomarker to predict survival at the given endpoint under the accelerated failure time model. We illustrate our methods using a prothrombin index as a predictor of survival in liver cirrhosis patients.  相似文献   

17.
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