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We consider a set of variables with two types of nonstationary features, stochastic trends and broken linear trends. We develop tests that can determine whether there is a linear combination of these variables under which the nonstationary features can be canceled out. The first test can determine whether stochastic trends can be eliminated and thus whether cointegration holds, regardless of whether structural breaks in linear trends are eliminated. The second test can determine whether both stochastic trends and breaks in linear trends are simultaneously removed and thus whether cointegration and cobreaking simultaneously hold. The third test can determine whether not only breaks in linear trends but also linear trends themselves are eliminated along with stochastic trends and thus whether both cointegration and cotrending hold.  相似文献   

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The rapid response to the requirements of customers and markets promotes the concurrent engineering (CE) technique in product and process design. The decision making for process quality target, SPC method, sampling plan, and control chart parameter design can be done at the stage of process quality plan based on historical data and process knowledge database. Therefore, it is a reasonable trend to introduce the concepts and achievements on process quality evaluation and process capability analysis, CE, and SPC techniques into process plan and tolerance design. A new systematic method for concurrent design of process quality, statistical tolerance (ST), and control chart is presented based on a NSFC research program. A set of standardized process quality indices (PQIs) for variables is introduced for meeting the measurement and evaluation to process yield, process centering, and quality loss. This index system that has relatively strong compatibility and adaptability is based on raisonne grading by using the series of preferred numbers and arithmetical progression. The expected process quality based on this system can be assured by a standardized interface between PQIs and SPC, that is, quality-oriented statistical tolerance zone. A quality-oriented ST and SPC approach that quantitatively specifies what a desired process is and how to assure it will realize the optimal control for a process toward a predetermined quality target.  相似文献   

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The paper describes nonparametric approaches for comparing three-period, two-treatment, four-sequence crossover designs through testing the hypothesis that the treatments are interchangeable. The proposed approaches are based on a model which incorporates, along with the direct treatment effects, self and mixed carryover effects. Related asymptotic results are obtained. Comparisons among the designs are made numerically with respect to type I error rate and power of the tests considering compound symmetry and autoregressive covariance structures of the response variables. Lengths of the confidence intervals of the treatment differences are also used to make comparative study among the designs.  相似文献   

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Some results concerning expressions for moments and L-moments of continuous distributions are given. These include: some decompositions of variance and covariance closely related to decompositions recently given by Yatracos; a similar expression for the population third central moment and a simple proof thereof for nonnegative random variables; an alternative proof of a general expression for L-moments due to Hosking, and some straightforward consequences for inequalities concerning L-moments. Simplicity is a key feature of all results considered in this paper.  相似文献   

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Insight into measures of peakedness, heavy-tailedness, and kurtosis can be gained by studying Ruppert’s ratios of interquantile ranges. They are not only monotone in Horn’s measure of peakedness when applied to the central portion of the population, but also monotone in the practical tail-index of Morgenthaler and Tukey, when applied to the tails. Non-parametric confidence intervals are found for Ruppert’s ratios, and sample sizes required to obtain such intervals for a pre-specified relative width and level are provided. In addition, the empirical power of distribution-free tests for peakedness and bimodality are found for some symmetric distributions.  相似文献   

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This article examines some improperly stated but often used textbook probability problems. Moving from a probabilistic to a statistical setting provides insight into group testing (i.e., observing only whether one or more of a group responds and not the response of each individual). Exact methods are used to construct tables showing (i) that group testing n times to estimate p can be more efficient than n individual tests even for small n and large p, (ii) optimal grouping strategies for various (n, p) combinations, and (iii) the efficiencies and biases achieved.  相似文献   

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An examination of the theoretical moments of a probability density function provides useful information about the flexibility of alternative distributions. Johnson and Kotz (1970), among others, consider skewness-kurtosis plots to illustratve the ability of various probability density functions to model diverse distributional characteristics. This article investigates the skewness-kurtosis plots of the exponential generalized beta of the first and second kind and some important special cases which have been used in various applications in economics, statistics, and finance.  相似文献   

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Consider a two-by-two factorial experiment with more than one replicate. Suppose that we have uncertain prior information that the two-factor interaction is zero. We describe new simultaneous frequentist confidence intervals for the four population cell means, with simultaneous confidence coefficient 1 ? α, that utilize this prior information in the following sense. These simultaneous confidence intervals define a cube with expected volume that (a) is relatively small when the two-factor interaction is zero and (b) has maximum value that is not too large. Also, these intervals coincide with the standard simultaneous confidence intervals obtained by Tukey’s method, with simultaneous confidence coefficient 1 ? α, when the data strongly contradict the prior information that the two-factor interaction is zero. We illustrate the application of these new simultaneous confidence intervals to a real data set.  相似文献   

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Organizations tailor their mentoring strategies to accommodate internal resources and preferences, producing different approaches in academic, government, and corporate environments. Across these settings, three common barriers impede effective mentoring of statisticians: overspecialization, time constraints, and geographic dispersion. The authors share mentoring strategies that have emerged at their organization, Mathematica Policy Research, to overcome these obstacles. Practices include creating a methodology working group to unite researchers with diverse backgrounds, integrating mentoring into existing workflows, and harnessing modern technological infrastructure to facilitate virtual mentoring. Although these strategies emerged within a specific professional context, they suggest opportunities for statisticians to expand the channels through which mentorship can occur.  相似文献   

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In this paper many convergence issues concerning the implementation of the Gibbs sampler are investigated. Exact computable rates of convergence for Gaussian target distributions are obtained. Different random and non-random updating strategies and blocking combinations are compared using the rates. The effect of dimensionality and correlation structure on the convergence rates are studied. Some examples are considered to demonstrate the results. For a Gaussian image analysis problem several updating strategies are described and compared. For problems in Bayesian linear models several possible parameterizations are analysed in terms of their convergence rates characterizing the optimal choice.  相似文献   

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We discuss maximum likelihood and estimating equations methods for combining results from multiple studies in pooling projects and data consortia using a meta-analysis model, when the multivariate estimates with their covariance matrices are available. The estimates to be combined are typically regression slopes, often from relative risk models in biomedical and epidemiologic applications. We generalize the existing univariate meta-analysis model and investigate the efficiency advantages of the multivariate methods, relative to the univariate ones. We generalize a popular univariate test for between-studies homogeneity to a multivariate test. The methods are applied to a pooled analysis of type of carotenoids in relation to lung cancer incidence from seven prospective studies. In these data, the expected gain in efficiency was evident, sometimes to a large extent. Finally, we study the finite sample properties of the estimators and compare the multivariate ones to their univariate counterparts.  相似文献   

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