首页 | 本学科首页   官方微博 | 高级检索  
相似文献
 共查询到20条相似文献,搜索用时 671 毫秒
1.
Comparison of two-way contingency tables using measures of association is considered. Multiple comparison procedures for dependent tables are proposed, enabling us to compare tables that are faces from larger multl-dimensional tables. An example

is given to Illustrate the analysis of two 2 × 2-tables formed

from a 24-table.  相似文献   

2.
This paper considers exponential and rational regression models that are nonlinear in some parameters. Recently, locally D-optimal designs for such models were investigated in [Melas, V. B., 2005. On the functional approach to optimal designs for nonlinear models. J. Statist. Plann. Inference 132, 93–116] based upon a functional approach. In this article a similar method is applied to construct maximin efficient D-optimal designs. This approach allows one to represent the support points of the designs by Taylor series, which gives us the opportunity to construct the designs by hand using tables of the coefficients of the series. Such tables are provided here for models with two nonlinear parameters. Furthermore, the recurrent formulas for constructing the tables for arbitrary numbers of parameters are introduced.  相似文献   

3.
This is an analysis of abbreviated life tables for Polish regions for 1973 to 1975. Life tables are given for 49 voivodships by age groups, and data on average life expectancies are provided.  相似文献   

4.
This paper extends an analysis of variance for categorical data (CATANOVA) procedure to multidimensional contingency tables involving several factors and a response variable measured on a nominal scale. Using an appropriate measure of total variation for multinomial data, partial and multiple association measures are developed as R2 quantities which parallel the analogous statistics in multiple linear regression for quantitative data. In addition, test statistics are derived in terms of these R2 criteria. Finally, this CATANOVA approach is illustrated within the context of 2 three-way contingency table from a multicenter clinicaltrial.  相似文献   

5.
An analysis of life tables constructed for the 49 voivodships of Poland for the years 1973-1975 and 1976-1980 is presented. The life tables have been prepared for periods of several years to avoid distortions due to data inadequacies for the smaller voivodships. The paper is in two parts: Part 2 is concerned with the major causes of death and the effect of their elimination on life expectancy.  相似文献   

6.
In this article we develop an extension of categorical analysis of variance for one response and two factors, based on a partitioning of a measure of predictability for three-way contingency tables, known as Gray and Williams's index. At the first instance moment the decomposition of this multiple measure of association in partial association measures is shown. Finally, for ordinal-scale variables, we propose an extension of this decomposition using a particular set of orthogonal polynomials.  相似文献   

7.
In many case-control studies the risk factors are categorized in order to clarify the analysis and presentation of the data. However, inconsistent categorization of continuous risk factors may make interpretation difficult. This paper attempts to evaluate the effect of the categorization procedure on the odds ratio and several measures of association. Often the risk factor is dichotomized and the data linking the risk factor and the disease is presented in a 2 x 2 table. We show that the odds ratio obtained from the 2x2 table is usually considerably larger than the comparable statistic that would have been obtained had a large number of outpoints been used. Also, if 2 x 2, 2 x 3, or 2 x 4 tables are obtained by using a few outpoints on the risk factor, the measures of association for these tables are usually greater than the measure that would have been obtained had a large number of cntpoints been used. We propose an odds ratio measure that more closely approximates the odds ratio between the continuous risk factor and disease. A corresponding measure of association is also proposed for 2 x 2, 2x3, and 2x4 tables.  相似文献   

8.
我国基本养老保险采取统账结合的制度模式。其中,个人账户采用记账方式建立了参保缴费与养老待遇之间的直接联系。理论上,公平和长期可持续的个人账户模式在记账利率、计发系数、余额继承等方面应遵循精算原则,但我国的个人账户参数设定存在不少违背精算公平和精算平衡原则的错误。本文结合国际经验,在剖析我国养老保险个人账户参数设定错误的基础上,基于精算平衡原理,探讨参数设定方法,检验纠正方案对制度精算公平和精算平衡性的效果,最后提出参数改革的具体建议。主要结论是:个人账户的记账利率应该是制度的内含回报率;名义账户的记账利率不是银行存款利率,而应随缴费工资增长率、人口预期寿命的变动等定期调整;养老金计发系数应基于动态生命表、养老金调整指数和个人账户内含回报率的变动而调整。由此确定的参数纠正方案将有效改善制度的精算公平与精算平衡性。因而建议我国基本养老保险个人账户应尽早明确现收现付的筹资模式和账户余额的权益归属,采用动态的记账利率和计发月数,引入自动平衡机制,实现制度的长期精算平衡。  相似文献   

9.
The best-known non-asymptotic method for comparing two independent proportions is Fisher's exact text. The usual critical region (CR) tables for this test contain one or more of the following defects:they distinguish between rows and columns; they distinguish between the alternatives H = p1 < p2 and H = p1 > p2; they assume that the error for the two-tailed test is twice that of the one-tailed test; they do not use the optimal version of the test; they do not give both CRs for one and two tails at the same time. All this results in the unnecessary duplication of the space required for the tables, the construction of tables of low-powered methods, or the need to manipulate two different tables (one for the one-tailed test, the other for the two-tailed test). This paper presents CR tables which have been obtained from the most powerful version of Fisher's exact test and which occupy the minimum space possible. The tables, which are valid for one- or two-tailed tests, have levels of significance of 10%, 5% and 1% and values for N (the total size of both samples) of less than or equal to 40. This article shows how to calculate the P value in a specific problem, using the tables as a means of partial checking and as a preliminary step to determining the exact P value.  相似文献   

10.
The paper is concerned with structural properties of the acceptance regions of uniformly most powerful unbiased tests (UMPU-tests) for one- and two-sided hypotheses for 2×2 tables as, for instance, the comparison of two proportions or testing for association. These tests can be considered as randomized versions of Fisher's exact tests. A series of monotonicity and unimodality properties will be proved. These properties are equivalent to a symmetry and convexity condition often required for powerful unconditional tests. Knowledge of such properties allows a fast and in some sense recursive calculation of the critical values of the UMPU-tests which is important if a repeated calculation of all critical values for different sample sizes or different levels is required. This is, for example, the case if the unconditional power has to be controlled over a certain subset of the alternative, or, if one is interested in powerful unconditional non-randomized tests generated by a UMPU-test. Our results also imply some useful properties of the two-dimensional unconditional power function. On the other hand, we found some less nice properties of the UMPU-tests, too.  相似文献   

11.
We describe and illustrate approaches to data augmentation in multi-way contingency tables for which partial information, in the form of subsets of marginal totals, is available. In such problems, interest lies in questions of inference about the parameters of models underlying the table together with imputation for the individual cell entries. We discuss questions of structure related to the implications for inference on cell counts arising from assumptions about log-linear model forms, and a class of simple and useful prior distributions on the parameters of log-linear models. We then discuss “local move” and “global move” Metropolis–Hastings simulation methods for exploring the posterior distributions for parameters and cell counts, focusing particularly on higher-dimensional problems. As a by-product, we note potential uses of the “global move” approach for inference about numbers of tables consistent with a prescribed subset of marginal counts. Illustration and comparison of MCMC approaches is given, and we conclude with discussion of areas for further developments and current open issues.  相似文献   

12.
This paper examines the use of homogeneity tests prior to tests of overall association among g 2 x 2 tables. When placed in the context of a one-way analysis of variance, hypotheses of overall association and homogeneity can be viewed as hypotheses regarding mean and treatment effects, respectively. In this context, the need for homogeneity tests is presented. What constitutes a relevant test of homogeneity is also examined. The conclusion is that some of the difficulties raised in the literature regarding tests of homogeneity stem from differences in the hypothesis of association being examined.  相似文献   

13.
Power-divergence test statistics have been considered to test linear by linear association for two-way contingency tables. These test statistics have been compared based on designed simulation study and asymptotic results for 2 × 2, 2 × 3, and 3 × 3 tables. According to the results, there are test statistics with better properties than the well-known likelihood ratio test statistic for small and moderate samples.  相似文献   

14.
A. Baccini  M. Fekri  J. Fine 《Statistics》2013,47(4):267-300
Different sorts of bilinear models (models with bilinear interaction terms) are currently used when analyzing contingency tables: association models, correlation models... All these can be included in a general family of bilinear models: power models. In this framework, Maximum Likelihood (ML) estimation is not always possible, as explained in an introductory example. Thus, Generalized Least Squares (GLS) estimation is sometimes needed in order to estimate parameters. A subclass of power models is then considered in this paper: separable reduced-rank (SRR) models. They allow an optimal choice of weights for GLS estimation and simplifications in asymptotic studies concerning GLS estimators. Power 2 models belong to the subclass of SRR models and the asymptotic properties of GLS estimators are established. Similar results are also established for association models which are not SRR models. However, these results are more difficult to prove. Finally, 2 examples are considered to illustrate our results.  相似文献   

15.
One of the most famous controversies in the history of Statistics regards the number of the degrees of freedom of a chi-square test. In 1900, Pearson introduced the chi-square test for goodness of fit without recognizing that the degrees of freedom depend on the number of estimated parameters under the null hypothesis. Yule tried an ‘experimental’ approach to check the results by a short series of ‘experiments’. Nowadays, an open-source language such as R gives the opportunity to empirically check the adequateness of Pearson's arguments. Pearson paid crucial attention to the relative error, which he stated ‘will, as a rule, be small’. However, this point is fallacious, as is made evident by the simulations carried out with R. The simulations concentrate on 2×2 tables where the fallacy of the argument is most evident. Moreover, this is one of the most employed cases in the research field.  相似文献   

16.
Summary.  Square contingency tables with matching ordinal rows and columns arise in particular as empirical transition matrices and the paper considers these in the context of social class and income mobility tables. Such tables relate the socio-economic position of parents to the socio-economic position of their child in adulthood. The level of association between parental and child socio-economic position is taken as a measure of mobility. Several approaches to analysis are described and illustrated by UK data in which interest focuses on comparisons of social class and income mobility tables that are derived from the same individuals. Account is taken of the use of the same individuals in the two tables. Additionally comparisons over time are considered.  相似文献   

17.
This is a continuation of Part I of our previous paper (1980) on conbinatorial aspects of t-designs with t ≥ 2. Along the same developments as in Part I, this paper provides tables, assorted examples of t-designs, and interesting unsolved problems. A brief background and a short review of the literature related to each unsolved problem is also provided. Some tables list parameters of designs whose existence or nonexistence is not established in literature. Notation and numbering of Part I are still used here.  相似文献   

18.
The likelihood ratio test for cointegrating rank is analyzed for partial (or conditional) systems in the vector autoregressive error-correction model. Under the assumption of weak exogeneity for the cointegrating parameters, the asymptotic distributions are given and tables of critical values are provided. A discussion is given of some of the assumptions of the model, why they are needed, and how they are tested.  相似文献   

19.
Testing for the difference in the strength of bivariate association in two independent contingency tables is an important issue that finds applications in various disciplines. Currently, many of the commonly used tests are based on single-index measures of association. More specifically, one obtains single-index measurements of association from two tables and compares them based on asymptotic theory. Although they are usually easy to understand and use, often much of the information contained in the data is lost with single-index measures. Accordingly, they fail to fully capture the association in the data. To remedy this shortcoming, we introduce a new summary statistic measuring various types of association in a contingency table. Based on this new summary statistic, we propose a likelihood ratio test comparing the strength of association in two independent contingency tables. The proposed test examines the stochastic order between summary statistics. We derive its asymptotic null distribution and demonstrate that the least favorable distributions are chi-bar distributions. We numerically compare the power of the proposed test to that of the tests based on single-index measures. Finally, we provide two examples illustrating the new summary statistics and the related tests.  相似文献   

20.
Missing observations often occur in cross-classified data collected during observational, clinical, and public health studies. Inappropriate treatment of missing data can reduce statistical power and give biased results. This work extends the Baker, Rosenberger and Dersimonian modeling approach to compute maximum likelihood estimates for cell counts in three-way tables with missing data, and studies the association between two dichotomous variables while controlling for a third variable in \( 2\times 2 \times K \) tables. This approach is applied to the Behavioral Risk Factor Surveillance System data. Simulation studies are used to investigate the efficiency of estimation of the common odds ratio.  相似文献   

设为首页 | 免责声明 | 关于勤云 | 加入收藏

Copyright©北京勤云科技发展有限公司  京ICP备09084417号