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1.
The purpose of this article is to discuss the application of nonlinear models to price decisions in the framework of rating-based product preference models. As revealed by a comparative simulation study, when a nonlinear model is the true model, the traditional linear model fails to properly describe the true pattern. It appears to be unsatisfactory in comparison with nonlinear models, such as logistic and natural spline, which offer some advantages, the most important being the ability to take into account more than just linear and/or monotonic effects. Consequently, when we model the product preference with a nonlinear model, we are potentially able to detect its ‘best’ price level, i.e., the price at which consumer preference towards a given attribute is at its maximum. From an application point of view, this approach is very flexible in price decisions and may produce original managerial suggestions which might not be revealed by traditional methods.  相似文献   

2.
Models are formulated for describing associations among ordinal variables in multidimensional tables.Uniform association and uniform interaction models occur as special cases in which equal-interval scores are assigned to levels of the variables.The models described are extensions of ones proposed by Goodman (1979).  相似文献   

3.
It is well known that long-term exposure to high levels of pollution is hazardous to human health. Therefore, it is important to study and understand the behavior of pollutants in general. In this work, we study the occurrence of a pollutant concentration's surpassing a given threshold (an exceedance) as well as the length of time that the concentration stays above it. A general N(t)/D/1 queueing model is considered to jointly analyze those problems. A non-homogeneous Poisson process is used to model the arrivals of clusters of exceedances. Geometric and generalized negative binomial distributions are used to model the amount of time (cluster size) that the pollutant concentration stays above the threshold. A mixture model is also used for the cluster size distribution. The rate function of the non-homogeneous Poisson process is assumed to be of either the Weibull or the Musa–Okumoto type. The selection of the model that best fits the data is performed using the Bayes discrimination method and the sum of absolute differences as well as using a graphical criterion. Results are applied to the daily maximum ozone measurements provided by the monitoring network of the Metropolitan Area of Mexico City.  相似文献   

4.
A number of articles have discussed the way lower order polynomial and interaction terms should be handled in linear regression models. Only if all lower order terms are included in the model will the regression model be invariant with respect to coding transformations of the variables. If lower order terms are omitted, the regression model will not be well formulated. In this paper, we extend this work to examine the implications of the ordering of variables in the linear mixed-effects model. We demonstrate how linear transformations of the variables affect the model and tests of significance of fixed effects in the model. We show how the transformations modify the random effects in the model, as well as their covariance matrix and the value of the restricted log-likelihood. We suggest a variable selection strategy for the linear mixed-effects model.  相似文献   

5.
In 2009 a survey was performed in Veneto, a region in the north-east of Italy, to study the demand for wine and specifically for Passito, a typical Italian wine. The main goal of the study consisted in analyzing how the preferences and consumption habits of Passito vary depending on consumers’ characteristics. Specifically two kinds of statistical methods were applied: Covariate Uniform Binomial (CUB) model, a statistical approach for ordinal data to study the feeling toward Passito and the uncertainty of the respondents; classical logistic regression analysis, to describe how the attitude toward passito can be modeled as function of consumers’ covariates. Gender and residence were the most important covariates, useful in defining segments of consumers with significant differences in terms of Passito's preferences and consumption behavior. The logistic regression analysis allowed to complete the statistical analysis based on CUB models validating the results of the CUB model and estimating a model useful to predict the attitude toward the considered product for specific sub-groups of consumers.  相似文献   

6.
A broad literature focused on the effectiveness of tertiary education. In classical models, a performance indicator is regressed on a set of characteristics of the individuals and fixed effects at the institution level. The FE coefficients are interpreted as the pure value added of the universities. The innovative contribution of the present paper resides in the use of Bayesian network (BN) analysis to assess the effectiveness of tertiary education. The results of an empirical study focused on Italian universities are discussed, to present the use of BN as a decision support tool for policy-making purposes.  相似文献   

7.
The Genetic Markers of Inflammation Study (GenIMS) was conceived to investigate the role of severe sepsis, which is typically defined as system-wide multi-organ failure, on survival. One major hypothesis for this systemic collapse, and reduction in survival, is a cascade of pro-inflammatory and anti-inflammatory cytokines. In this paper, we devised a novel joint modeling strategy to evaluate the joint effect of longitudinal anti-inflammatory marker IL-6 and pro-inflammatory marker IL-10 on 90-day survival. We found that, on average, patients with high initial values of both IL-6 and IL-10, that tend to increase over time, are associated with a reduction in survival expectancy and that accounting for their assumed correlation was justified.  相似文献   

8.
Summary.  We consider joint spatial modelling of areal multivariate categorical data assuming a multiway contingency table for the variables, modelled by using a log-linear model, and connected across units by using spatial random effects. With no distinction regarding whether variables are response or explanatory, we do not limit inference to conditional probabilities, as in customary spatial logistic regression. With joint probabilities we can calculate arbitrary marginal and conditional probabilities without having to refit models to investigate different hypotheses. Flexible aggregation allows us to investigate subgroups of interest; flexible conditioning enables not only the study of outcomes given risk factors but also retrospective study of risk factors given outcomes. A benefit of joint spatial modelling is the opportunity to reveal disparities in health in a richer fashion, e.g. across space for any particular group of cells, across groups of cells at a particular location, and, hence, potential space–group interaction. We illustrate with an analysis of birth records for the state of North Carolina and compare with spatial logistic regression.  相似文献   

9.
10.
The central topic of this article is the estimation of parameters of the generalized partially linear single-index model (GPLSIM). Two numerical optimization procedures are presented and an S-plus program based on these procedures is compared to a program by Wand in a simulation setting. The results from these simulations indicate that the estimates for the new procedures are as good, if not better, than Wand's. Also, this program is much more flexible than Wand's since it can handle more general models. Other simulations are also conducted. The first compares the effects of using linear interpolation versus spline interpolation in an optimization procedure. The results indicate that by using spline interpolation one gets more stable estimates at a cost of increased computational time. A second simulation was conducted to assess the performance of a method for estimating the variance of alpha. A third set of simulations is carried out to determine the best criterion for testing that one of the elements of alpha is equal to zero. The GPLSIM is applied to a water quality data set and the results indicate an interesting relationship between gastrointestinal illness and turbidity (cloudiness) of drinking water.  相似文献   

11.
Abstract

In this paper we study the predictor behaviour of the additive model. The prediction equation is introduced as well as the computational considerations to select the smoothing parameters through cross-validation. The additive predictor is compared with a partially linear predictor in a broad simulation study and an application to a real case, prediction of the atmospheric concentration of SO2 in sample stations.  相似文献   

12.
Summary.  Repeated measures and repeated events data have a hierarchical structure which can be analysed by using multilevel models. A growth curve model is an example of a multilevel random-coefficients model, whereas a discrete time event history model for recurrent events can be fitted as a multilevel logistic regression model. The paper describes extensions to the basic growth curve model to handle auto-correlated residuals, multiple-indicator latent variables and correlated growth processes, and event history models for correlated event processes. The multilevel approach to the analysis of repeated measures data is contrasted with structural equation modelling. The methods are illustrated in analyses of children's growth, changes in social and political attitudes, and the interrelationship between partnership transitions and childbearing.  相似文献   

13.
The late-2000s financial crisis stressed the need to understand the world financial system as a network of countries, where cross-border financial linkages play a fundamental role in the spread of systemic risks. Financial network models, which take into account the complex interrelationships between countries, seem to be an appropriate tool in this context. To improve the statistical performance of financial network models, we propose to generate them by means of multivariate graphical models. We then introduce Bayesian graphical models, which can take model uncertainty into account, and dynamic Bayesian graphical models, which provide a convenient framework to model temporal cross-border data, decomposing the model into autoregressive and contemporaneous networks. The article shows how the application of the proposed models to the Bank of International Settlements locational banking statistics allows the identification of four distinct groups of countries, that can be considered central in systemic risk contagion.  相似文献   

14.
We introduce a new definition of generalized marginal interactions, called marginal nested interactions, which includes baseline, local, continuation and reverse continuation logits and odds ratios as special cases. The significant aspect of this definition is the inclusion of new types of logits and odds ratios that can handle non-ordinal, ordinal and partially ordered categorical variables in a flexible and appropriate way. It is proved also that the marginal nested interactions define a saturated model of a multi-way contingency table.  相似文献   

15.
16.
Double hierarchical generalized linear models (with discussion)   总被引:2,自引:0,他引:2  
Summary.  We propose a class of double hierarchical generalized linear models in which random effects can be specified for both the mean and dispersion. Heteroscedasticity between clusters can be modelled by introducing random effects in the dispersion model, as is heterogeneity between clusters in the mean model. This class will, among other things, enable models with heavy-tailed distributions to be explored, providing robust estimation against outliers. The h -likelihood provides a unified framework for this new class of models and gives a single algorithm for fitting all members of the class. This algorithm does not require quadrature or prior probabilities.  相似文献   

17.
Spatial variation in teenage conceptions in south and west England   总被引:1,自引:0,他引:1  
Multilevel Poisson models are used to identify factors influencing variation in census ward level teenage conception rates. Multilevel logistic models are also employed to examine the outcome of these conceptions. Demographic and socioeconomic characteristics are accounted for as well as access to family planning services. The paper emphasizes the importance of customized deprivation indices that are specific to the health outcome in urban and rural areas.  相似文献   

18.
We propose a method for specifying the distribution of random effects included in a model for cluster data. The class of models we consider includes mixed models and frailty models whose random effects and explanatory variables are constant within clusters. The method is based on cluster residuals obtained by assuming that the random effects are equal between clusters. We exhibit an asymptotic relationship between the cluster residuals and variations of the random effects as the number of observations increases and the variance of the random effects decreases. The asymptotic relationship is used to specify the random-effects distribution. The method is applied to a frailty model and a model used to describe the spread of plant diseases.  相似文献   

19.
This paper presents a comprehensive listing of articles on least absolute value (LAV) estimation as applied to linear and non-linear regression models and in systems of equations. References to the LAV method as applied in approximation theory are also included. Annotations describing the content of each article follow each reference.  相似文献   

20.
Bivariate integer-valued time series occur in many areas, such as finance, epidemiology, business etc. In this article, we present bivariate autoregressive integer-valued time-series models, based on the signed thinning operator. Compared to classical bivariate INAR models, the new processes have the advantage to allow for negative values for both the time series and the autocorrelation functions. Strict stationarity and ergodicity of the processes are established. The moments and the autocovariance functions are determined. The conditional least squares estimator of the model parameters is considered and the asymptotic properties of the obtained estimators are derived. An analysis of a real dataset from finance and a simulation study are carried out to assess the performance of the model.  相似文献   

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