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1.
Bernoulli bridge, excursion and meander are defined on the symmetric random walk similarly to Brownian bridge, excursion and meander (cf. Chung 1976). Distributions of certain characteristics defined on these Bernoulli processes, which are of a combinatorial nature, and their limits are obtained. Using weak convergence, these derivations give a verification of some of the earlier results on Brownian excursion and Brownian meander, as well as some new results.  相似文献   

2.
Kimeldorf et al. (1981) established a simultaneous characterization of the Poisson and Bernoulli distributions. In this note two variants of the authors' characterizing condition are considered each of which is shown also to characterize simultaneously the Poisson and Bernoulli distributions.  相似文献   

3.
With the help of the result that exponential-type families are determined by their mean value functions it is shown that stochastic independence of the random variables SN and N-SN characterizes the Poisson and Bernoulli distributions simultaneously.  相似文献   

4.
The problem of determining whether a sequence of observed Bernoulli variates is consistent with a hypothesized underlying sequence of known probabilities is considered. A family of asymptotically normal test statistics is proposed, members of which are shown to be asymptotically locally optimal against specific types of alternatives. For small samples, a skewness correction is shown to improve greatly the adequacy of the asymptotic approximations to the null distributions of the proposed test statistics. The application of testing for increased cancer risk in families is considered, and modifications to the test statistics which adjust for the method of family ascertainment are indicated  相似文献   

5.
Bivariate Bernoulli and bivariate geometric distributions are proposed to model reciprocity in weighted and unweighted networks. Sampling properties of commonly used reciprocity measures are studied, under both presence and absence of reciprocity. Extensions to situations where link parameters depend on outgoing and incoming nodes are investigated. Results are illustrated with a data set, on 50 anesthesia providers at a hospital, that describes the number of times an anesthesia provider starting an operation transfers his/her responsibilities to another anesthesia provider.  相似文献   

6.
于忠义 《统计研究》2003,20(5):59-3
一、JamesBernoulli与Bernoulli家族1713年 ,也就是JamesBernoulli死后的第 8年 ,他的伟大著作《推测术》终于在数学家们的期盼中出版了。如果说赌博是概率的母亲的话 ,那么经过几千年的孕育 ,概率终于以JamesBernoulli的《推测术》(Arsconjectandi)的出版为标志诞生了。对此著名统计史学家IanHacking的评价是“此书标志着概率概念漫长形成过程的终结与数学概率论的开始”。16 5 4年 12月 2 7日 ,JamesBernoulli出生在瑞士的一个小城Basel。他是这个伟大的数学家族中的第一个数学家 ,也是最著名的一位。他的祖先早年为了逃避宗教迫害 …  相似文献   

7.
In this paper, we show that a hypergeometric random variable can be represented as a sum of independent Bernoulli random variables that are, except in degenerate cases, not identically distributed. In the proof, we use the factorial moment generating function. An asymptotic result on the probabilities of the Bernoulli random variables in the sum is also presented. Numerical examples are used to illustrate the results.  相似文献   

8.
In this paper, bivariate binomial distributions generated by extreme bivariate Bernoulli distributions are obtained and studied. Representation of the bivariate binomial distribution generated by a convex combination of extreme bivariate Bernoulli distributions as a mixture of distributions in the class of bivariate binomial distribution generated by extreme bivariate Bernoulli distribution is obtained. A subfamily of bivariate binomial distributions exhibiting the property of positive and negative dependence is constructed. Some results on positive dependence notions as it relates to the bivariate binomial distribution generated by extreme bivariate Bernoulli distribution and a linear combination of such distributions are obtained.  相似文献   

9.
The concepts of the Bernoulli count process of a point process and Bernoulli sampling of a discrete parameter stochastic process are introduced. The Bernoulli count process determines the stochastic structure of the point process, and a process obtained by thinning a discrete parameter stochastic process by Bernoulli sampling satisfies the same property. Stationarity and the Markov property remain invariant under Bernoulli sampling.  相似文献   

10.
We deal with sequences of dependent Bernoulli variables with non positive correlations. Some special models for 1-dependent and 2-dependent 0–1 valued variables are analyzed, namely Bernoulli variables obtained by clipping a linear combination of iid variables. Formulas describing dependence of their correlation function on the clipping parameters are derived. The lower bound for the sum of autocorrelations of Bernoulli variables obtained by clipping a Gaussian process is provided.  相似文献   

11.
This article describes a generalization of the binomial distribution. The closed form probability function for the probability of k successes out of n correlated, exchangeable Bernoulli trials depends on the number of trials and its two parameters: the common success probability and the common correlation. The distribution is derived under the assumption that the common correlation between all pairs of Bernoulli trials remains unchanged conditional on successes in all completed trials. The distribution was developed to model bond defaults but may be suited to biostatistical applications involving clusters of binary data encountered in repeated measurements or toxicity studies of families of organisms. Maximum likelihood estimates for the parameters of the distribution are found for a set of binary data from a developmental toxicity study on litters of mice.  相似文献   

12.
A bandit problem with infinitely many Bernoulli arms is considered. The parameters of Bernoulli arms are independent and identically distributed random variables from a generalized beta distributionG3B(a, b, λ) witha, b>0 and 0<λ<2. Under the generalized beta prior distributions, we first derive the asymptotic expected failure rates ofk-failure strategies, and then obtain a lower bound for the expected failure rate over all strategies investigated in Berry et al. (1997). The asymptotic expected failure rates for the other three strategies studied in Berry et al. (1997) are also included. Numerical estimations for a variety of generalized beta prior distributions are presented to illustrate the performances of these strategies.  相似文献   

13.
We give a short survey of some distribution results for Bernoulli excursion. The main emphasis is given to quantities expressible in terms of additive functionals, such as local times, area, etc.  相似文献   

14.
The number of success runs for nonhomogeneous markov dependent trials are represented as the sum of Bernoulli trials and the expected value of runs are obtained by using this representation. The distribution and bounds for the distribution of the longest run are derived for markov dependent trials.  相似文献   

15.
At least two computer program packages, SPSS and STRATA, use simulated Bernoulli trials to draw (without replacement) a random sample of records from a finite population of records. Therefore, the size of the sample is a random variable. Two estimators of a population total under this sampling procedure are compared with the usual estimator under simple random sampling. Conditions under which the Bernoulli sampling estimators have almost the same mean squared error as the simple random-sample estimator are illustrated.  相似文献   

16.
Consider the problem of comparing the success rates of c treatments, each of which induce a Bernoulli response. The comparison is to be made on the basis of n matched samples. We present a method for deriving confidence intervals for the pair-wise difference in success rates which has the desirable quality of providing uniformly shorter intervals than the procedure recently proposed by Bhapkar and Somes (1976). Comparisons of the lengths of the respective intervals are provided. Some observations regarding the assumptions required for the use of Cochran’s Q-test (1950) are also made.  相似文献   

17.
Prior information regarding the interrelation of two Bernoulli processes may justify a clinical trial designed to corroborate this information. Antelman (1973) has studied the Dirichlet-beta which permits the expression of the prior knowledge of such interrelation. However, use of this prior distribution leads to complicated and intractable analyses. Alternately, such prior information regarding the interrelation of the processes may be adequately summarized by a simple Dirichlet distribution. Procedures for testing hypotheses regarding a priori interrelations of the success probabilities of the processes are given. Exact expressions for the posterior probabi1ities of these hypotheses are shown to be approximately equal to weighted p-values or 1ikelihood ratios.  相似文献   

18.
A new generalization of the binomial distribution is introduced that allows dependence between trials, nonconstant probabilities of success from trial to trial, and which contains the usual binomial distribution as a special case. Along with the number of trials and an initial probability of ‘success’, an additional parameter that controls the degree of correlation between trials is introduced. The resulting class of distributions includes the binomial, unirnodal distributions, and bimodal distributions. Formulas for the moments, mean, and variance of this distribution are given along with a method for fitting the distribution to sample data.  相似文献   

19.
In this paper we construct a bivariate gamma mixture distribution by allowing the scale parameters of the two marginals to have a generalized Bernoulli distribution. We study the statistical properties of this distribution and discuss the estimation of the parameters. The distribution is then fitted to two bivariate data sets. Data on the age and lactation period of cows are described well by the proposed model, but it fails to fit Johansen's bean data properly because of theoretical constraints on the correlation.  相似文献   

20.
Abstract

Stratification provides a powerful tool for improving the efficiency and, being suitable for various sampling situations, it is commonly used in practice. Motivated by the utility of stratified sampling scheme, we focus on studying behavior of the estimator of proportion of a sensitive attribute while dealing with non-identical Bernoulli trials in survey research. The objective is achieved by considering a general randomized response model. Relative efficiency comparisons are presented along with cost analysis by considering different cost functions. Stratified random sampling is observed to be yielding more precise estimators.  相似文献   

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