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1.
A new partial ordering among life distributions in terms of their mean residual life is introduced. This ordering is weaker than the hazard rate ordering but it is stronger than the variability ordering. Characterizations of the DMRL and NBUE distribution are given.  相似文献   

2.
A new class of partial orderings on Sn, the set of permutations of {1,…,n}, is given. Each of these partial orderings is shown to be a subordering of a recently described partial ordering on Sn (Block, Chhetry, Fang and Sampson (1990)) which is related to Schriever's (1987) more associated ordering on bivariate distributions. Also given is an extension of three known partial orders on Sn to partial orders on Sn×Sn. These extensions facilitate the study of functions from Sn×Sn into , which preser these partial orderings, thereby, providing a methodology for extending the notion of arrangement increasing functions.  相似文献   

3.
Some degree of error is inevitable in multi‐agent bioassays regardless of design or measurement technology. Estimation error can be reduced post facto by exploiting the matrix partial ordering of the bioassay survival estimates. The standard method for this is order‐restricted regression (ORR). If the joint action of the bioassay agents admits a tolerance‐based interpretation, additional structure beyond matrix partial ordering is available, leading to a new method of error reduction. This tolerance‐based error reduction (TBER) procedure almost always outperforms ORR. Like ORR, TBER applies to complete factorial bioassay designs and, using weighting, to incomplete designs.  相似文献   

4.
Lorenz ranking of income distributions   总被引:1,自引:1,他引:0  
Based on the stochastic comparison of the Lorenz curves of income distributions, five partial orderings of income distributions are obtained. Three of these orderings are the well known star shaped, stochastic and the Lorenz orderings. The other two are new and are studied in some detail. The weakest ordering which is called the Lorenz area ordering is of special importance since it enables us to compare interesting Lorenz curves. This latter ordering leads to a class of income inequality measures which are identical with the linear inequality measures considered by Mehran (1976). A discussion of these measures is presented together with an application to part of Kunzet's (1963) data.  相似文献   

5.
The randomized complete block design is one of the most widely used experimental designs to systematically control the variability arising from known nuisance sources. The balanced mixed effects model is usually appropriate for such an experiment when the blocks used in the experiment are randomly chosen. In applications with k increasing or decreasing treatment levels, there is sometimes prior knowledge about the ordering of the treatment effects. The most commonly seen orderings include simple ordering, simple tree ordering and umbrella orderings with known or unknown peaks. A natural question is how to incorporate the prior ordering information in estimating the parameters in a balanced mixed effects model so that the estimated treatment effects are consistent with the prior information and the estimated variances of the block effects and experiment errors are nonnegative. In this paper we derive the maximum likelihood estimators of the parameters in a balanced mixed model subject to any partial ordering of the treatment effects, which includes the usual maximum likelihood estimators as a special case. An example is provided to illustrate the results.  相似文献   

6.
A partial ordering is developed among negative quadrant dependent distributions with fixed marginals. Basic properties and closure under certain statistical operations are derived. Applications of the results in statistics and probability are given.  相似文献   

7.
This paper studies the likelihood ratio ordering of parallel systems under multiple-outlier models. We introduce a partial order, the so-called θ-order, and show that the θ-order between the parameter vectors of the parallel systems implies the likelihood ratio order between the systems.  相似文献   

8.
In this paper, some partial ordering results regarding the original and the weighted distributions of random variables and random vectors have been derived. Bivariate weighted distributions have been discussed and some results have been obtained regarding them. Some dependence properties have also been studied.  相似文献   

9.
An extension of a result about the estimation in Karlin and Rubin is given for the following case:The sample space, the parameter space and the decision space are subsets of a multi-dimensional Euclidean space, there is defined a suitable partial ordering in each of spaces, and a probability distribution has monotone likelihood ratio with respect to the partial orderings (see Ishii, 1976). In the special case when the loss function is quadratic a simple proof of a result in Karlin and Rubin is given. Stein's estimators are discussed as examples.  相似文献   

10.
For two permutations i and j of the integers 1, …, n, a number of different metrics measuring the distance between i and j are studied in a unified fashion. Attention is focused on two new metrics and on two previously studied metrics. One of the new metrics is related to the more associated partial ordering between pairs of bivariate random vectors. Results are also given connecting these metrics to a number of previously considered partial orderings on the set of all permutations of 1, …, n where these partial orderings were used to describe when one bivariate empirical distribution function was more positively dependent than another.  相似文献   

11.
Residual probability order is a partial ordering analog of the total order stochastic precedence which can be fruitfully applied in many reliability problems. We introduce a U-statistic test for the null hypothesis that two random variables are equally distributed versus the alternative that one strictly dominates the other in residual probability order. The critical value is obtained by normal approximation and bootstrap procedures. The performance of the test statistic is evaluated using a simulation study. Finally, a numerical example illustrating the theory is also given.  相似文献   

12.
This article introduces and discusses a new measure of the relative economic affluence (REA) between income distributions with different means. The REA measure D is applied to the U.S. white and black household income distributions of 1967 and 1979. The measure D shows that the REA of the white households with respect to the black households decreased from 1967 to 1979. This conclusion contrasts with those obtained by applications of distance or quasi-distance functions. It is shown in this study that REA measures and distance functions address different and relevant issues. An REA measure deals with the relation “more affluent than” and defines a partial strict ordering over the set of pairs of income distributions—that is, the relation is asymmetric and transitive—whereas a distance function accounts for the dissimilarity between distributions without imposing an ordering relation and hence fulfills the symmetry property.  相似文献   

13.
The framework for a unified statistical theory of spline regression assuming fixed knots using the truncated polynomial or “+” function representation is presented. In particular, a partial ordering of some spline models is introduced to clarify their relationship and to indicate the hypotheses that can be tested by using either standard multiple regression procedures or a little-used conditional test developed by Hotelling (1940). The construction of spline models with polynomial pieces of different degrees is illustrated. A numerical example from a chemical experiment is given by using the GLM procedure of the statistical software package SAS (Barr et al. 1976).  相似文献   

14.
Fill's algorithm for perfect simulation for attractive finite state space models, unbiased for user impatience, is presented in terms of stochastic recursive sequences and extended in two ways. Repulsive discrete Markov random fields with two coding sets like the auto-Poisson distribution on a lattice with 4-neighbourhood can be treated as monotone systems if a particular partial ordering and quasi-maximal and quasi-minimal states are used. Fill's algorithm then applies directly. Combining Fill's rejection sampling with sandwiching leads to a version of the algorithm which works for general discrete conditionally specified repulsive models. Extensions to other types of models are briefly discussed.  相似文献   

15.
The notion of cross-product ratio for discrete two-way contingency table is extended to the case of continuous bivariate densities. This results in the “local dependence function” that measues the margin-free dependence between bivariate random variables. Properties and examples of the dependence function are discussed. The bivariate normal density plays a special role since it has constant dependence. Continuous bivariate densities can be constructed by specifying the dependence function along with two marginals in analogy to the construction of two-way contingency tables given marginals and patterns of interaction. The dependence function provides a partial ordering on bivariate dependence.  相似文献   

16.
The concept of weighted distributions is well-known in the literature concerning observational studies and surveys in research related to forestry, ecology, bio-medicine and many other areas (cf. Rao (1965)). This paper extends the idea of weighted distributions to multivariate case. A few multivariate orderings have been defined and some partial ordering results are presented. Some results regarding multivariate positive and negative dependence are also discussed. Multivariate weighted distributions - joint, marginal and conditional have been defined and some important results concerning them are presented along with an illustration. The Multivariate Poisson Negative Hypergeometric Distribution has been derived.  相似文献   

17.
A new univariate stochastic ordering is introduced. Some characterization results for such an ordering are stated. It is proved that the ordering is an integral stochastic ordering, obtaining a maximal generator. By means of this generator, the main properties of the ordering are deduced. A method for introducing univariate stochastic orderings, suggested by the new ordering, is analysed. Relationships with other stochastic orderings are also developed. To conclude, an example of an application of the new ordering to the field of medicine is proposed.  相似文献   

18.
Convolutions of independent random variables are usually compared. In this paper, after a synthetic comparison with respect to hazard rate ordering between sums of independent exponential random variables, we focus on the special case where one sum is identically distributed. So, for a given sum of n independent exponential random variables, we deduce the "best" Erlang-n bounds, with respect to each of the usual orderings: mean ordering, stochastic ordering, hazard rate ordering and likelihood ratio ordering.  相似文献   

19.
Summary Heavy tail distributions can be generated by applying specific non-linear transformations to a Gaussian random variable. Within this work we introduce power kurtosis transformations which are essentially determined by their generator function. Examples are theH-transformation of Tukey (1960), theK-transformation of MacGillivray and Cannon (1997) and theJ-transformation of Fischer and Klein (2004).Furthermore, we derive a general condition on the generator function which guarantees that the corresponding transformation is actually tail-increasing. In this case the exponent of the power kurtosis transformation can be interpreted as a kurtosis parameter. We also prove that the transformed distributions can be ordered with respect to the partial ordering of van Zwet (1964) for symmetric distributions.  相似文献   

20.
In the 1950s Brunk and Van Eeden each obtained maximum-likelihood estimators of a finite product of probability density functions under partial or complete ordering of their parameters. Their results play an important role in the general theory of inference under order restrictions and lead to an isotonic estimator of the intensity of a nonhomogeneous Poisson process. Here an elementary derivation of the maximum likelihood estimator (m.l.e.) for the intensity of a nonhomogeneous Poisson process is given when several (possibly censored) realizations are available. Boswell obtained the m.l.e. based on a single realization as well as a conditional m.l.e. under the same conditions. An example is given to show that in the multirealization setup a conditional m.l.e. may not exist; the proofs are, we believe, new and elementary. An illustrative application is given.  相似文献   

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