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1.
We describe a method of calculating sharp lower and upper bounds on the expectations of arbitrary, properly centered L-statistics expressed in the Gini mean difference units of the original i.i.d. observations. Precise values of bounds are derived for the single-order statistics, their differences, and some examples of L-estimators. We also present the families of discrete distributions which attain the bounds, possibly in the limit.  相似文献   

2.
We describe a method of determining upper bounds on the variances of linear combinations of the kth records values from i.i.d. sequences, expressed in terms of variances of parent distributions. We also present conditions for which the bounds are sharp, and those for which the respective lower ones are equal to zero. A special attention is paid to the case of the kth record spacings, i.e. the differences of consecutive kth record values.  相似文献   

3.
We present sharp mean–variance bounds for expectations of kth record values based on distributions coming from restricted families of distributions. These families are defined in terms of convex or star ordering with respect to generalized Pareto distribution. The bounds for expectations of kth record values from DD, DFR, DDA, and DFRA families are special cases of our results. The bounds are derived by application of the projection method.  相似文献   

4.
For the distributions with decreasing density and decreasing failure rate, and decreasing density and decreasing failure rate on the average, the quantiles are less than the mean if their orders do not exceed fixed levels. We determine the sharp negative upper bounds on the differences of the small quantiles and means for the distributions from the respective families in terms of scale units generated by pth absolute central moments. We show that the bounds amount trivially to zero when p > 1, and are strictly negative for p = 1.  相似文献   

5.
Combining the greatest convex minorant approximation (Moriguti, S. (1953). A modification of Schwarz's inequality with applications to distributions. Ann. Math. Statist., 24, 107–113.) with the Hölder inequality, we establish sharp bounds on the expectations of the second record statistics from symmetric populations. We also determine the distributions for which the bounds are attained. The optimal bounds are numerically evaluated and compared with other classical rough ones.  相似文献   

6.
We develop a finite-sample procedure to test the mean-variance efficiency and spanning hypotheses, without imposing any parametric assumptions on the distribution of model disturbances. In so doing, we provide an exact distribution-free method to test uniform linear restrictions in multivariate linear regression models. The framework allows for unknown forms of nonnormalities as well as time-varying conditional variances and covariances among the model disturbances. We derive exact bounds on the null distribution of joint F statistics to deal with the presence of nuisance parameters, and we show how to implement the resulting generalized nonparametric bounds tests with Monte Carlo resampling techniques. In sharp contrast to the usual tests that are not even computable when the number of test assets is too large, the power of the proposed test procedure potentially increases along both the time and cross-sectional dimensions.  相似文献   

7.
ABSTRACT

We present sharp bounds for expectations of generalized order statistics with random indices. The bounds are expressed in terms of logarithmic moments E X a (log max {1, X}) b of the underlying observation X. They are attainable and provide characterizations of some non trivial distributions. No restrictions are imposed on the parameters of the generalized order statistics model.  相似文献   

8.
This paper presents sharp bounds for expectations of non‐adjacent increments of kth record statistics, measured in various scale units, for a sequence of independent identically distributed random variables with continuous cumulative distribution function. The results for kth record spacings are considered as special cases. The paper also characterizes probability distributions for which the bounds are attained.  相似文献   

9.
H. Rossmann  W. Warmuth 《Statistics》2013,47(1):173-178
In the present paper there will be given sharp bounds for the probabilkity P (X > 0) where X is a nonnegative integer-valued random variable.  相似文献   

10.
In this article, we obtain sharp distribution-free bounds for the expected value of the gap between the current records and record values as well as upper sharp bounds for the spacings between any two upper current records. We also present two-sided bounds on the errors in approximating the means of current records by inverse hazard functions.  相似文献   

11.
Abstract

We consider the problem of assessing the effects of a treatment on duration outcomes using data from a randomized evaluation with noncompliance. For such settings, we derive nonparametric sharp bounds for average and quantile treatment effects addressing three pervasive problems simultaneously: self-selection into the spell of interest, endogenous censoring of the duration outcome, and noncompliance with the assigned treatment. Ignoring any of these issues could yield biased estimates of the effects. Notably, the proposed bounds do not impose the independent censoring assumption—which is commonly used to address censoring but is likely to fail in important settings—or exclusion restrictions to address endogeneity of censoring and selection. Instead, they employ monotonicity and stochastic dominance assumptions. To illustrate the use of these bounds we assess the effects of the Job Corps (JC) training program on its participants’ last complete employment spell duration. Our estimated bounds suggest that JC participation may increase the average duration of the last complete employment spell before week 208 after randomization by at least 5.6 log points (5.8%) for individuals who comply with their treatment assignment and experience a complete employment spell whether or not they enrolled in JC. The estimated quantile treatment effects suggest the impacts may be heterogeneous, and strengthen our conclusions based on the estimated average effects.  相似文献   

12.
In this paper, we study the empirical Bayes two-action problem under linear loss function. Upper bounds on the regret of empirical Bayes testing rules are investigated. Previous results on this problem construct empirical Bayes tests using kernel type estimators of nonparametric functionals. Further, they have assumed specific forms, such as the continuous one-parameter exponential family for {Fθ:θΩ}, for the family of distributions of the observations. In this paper, we present a new general approach of establishing upper bounds (in terms of rate of convergence) of empirical Bayes tests for this problem. Our results are given for any family of continuous distributions and apply to empirical Bayes tests based on any type of nonparametric method of functional estimation. We show that our bounds are very sharp in the sense that they reduce to existing optimal or nearly optimal rates of convergence when applied to specific families of distributions.  相似文献   

13.
Rychlik [Metrika 77, 539–557, 2014] described sharp upper negative bounds for the expectations of low-rank order statistics, centered about the population mean and measured in the mean absolute deviation from the mean units, for the i.i.d. sequences with common distribution possessing decreasing density function on the average. The bounds coincide with the negatives of maximal values of complicated functions on the unit interval. Here, we provide more precise solutions to the maximization problems.  相似文献   

14.
ABSTRACT

We derive sharp upper and lower projection bounds on the bias of two-sided Winsorized means. To determine the projection of appropriate function, we consider new analytic condition which describes the form of the corresponding greatest convex minorant. Then we compare numerically obtained bounds for trimmed and Winsorized means. We conclude that if we have no information about the underlying distribution then Winsorized means are better than the trimmed ones.  相似文献   

15.
The results of this paper are the continuation of the research presented by Bieniek [Optimal bounds for the mean of the total time on test for distributions with decreasing generalized failure rate. Statistics. 2016;50:1206–1220]. We consider the remaining total time on test after a given failure in a life test experiment. We derive sharp upper bounds on the mean of the total time on test optimal in the class of distributions with increasing generalized failure rate with respect to generalized Pareto distributions. Specific results are obtained for distributions with increasing density and increasing failure rate. We also provide exemplary numerical values of the obtained bounds and we compare them with the corresponding bounds for distributions with decreasing generalized failure rate.  相似文献   

16.
We present sharp bounds for moments of the maximum of concomitants of selected order statistics. The dependence between pair components is modeled by copulas. We use the bounds to compare some insurance premiums.  相似文献   

17.
Let X ? (r), r ≥ 1, denote generalized order statistics based on an arbitrary distribution function F with finite pth absolute moment for some 1 ≤ p ≤ ∞. We present sharp upper bounds on E(X ? (s) ? X ? (r)), 1 ≤ r < s, for F being either general or life distribution. The bounds are expressed in various scale units generated by pth central absolute or raw moments of F, respectively. The distributions achieving the bounds are specified.  相似文献   

18.
The potential outcomes approach to causal inference postulates that each individual has a number of possibly latent outcomes, each of which would be observed under a different treatment. For any individual, some of these outcomes will be unobservable or counterfactual. Information about post-treatment characteristics sometimes allows statements about what would have happened if an individual or group with these characteristics had received a different treatment. These are statements about the realized effects of the treatment. Determining the likely effect of an intervention before making a decision involves inference about effects in populations defined only by characteristics observed before decisions about treatment are made. Information on realized effects can tighten bounds on these prospectively defined measures of the intervention effect. We derive formulae for the bounds and their sampling variances and illustrate these points with data from a hypothetical study of the efficacy of screening mammography.  相似文献   

19.
We present sharp upper mean-variance bounds for expectations of generalized order statistics based on distributions coming from restricted families of distributions. Two families are considered: distributions with decreasing density and with density decreasing on the average. The bounds are derived by application of the projection method.  相似文献   

20.
In this note we derive sharp lower and upper bounds for the variance of the Graybill-Deal estimator of the common mean of two normal distributions with unknown variances when the sample sizes are not necessarily equal. We also derive similar bounds for the variance of the Brown-Cohen (1974) T a(1) class of unbiased es-timators to which the Graybill-Deal estimator belongs. Further, we illustrate the sharpness of the bounds by numerical computations in the case of the Graybill-Deal estimator.  相似文献   

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