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1.
We consider the problem of estimating the stress-strength reliability when the available data is in the form of record values. The one parameter and two parameters exponential distribution are considered. In the case of two parameters exponential distributions we considered the case where the location parameter is common and the case where the scale parameter is common. The maximum likelihood estimators and the associated confidence intervals are derived.  相似文献   

2.
A robust test of a parameter while in the presence of nuisance parameters was proposed by Wang (1981). The test procedure is a robust extension of the optimal C(α) tests. A numerical method for computing the solution of the orthogonality condition that is required by the test procedure is provided. An example on the testing of normal scale while in the presence of outliers is worked out to illustrate the construction of the robust test.  相似文献   

3.
This paper uses data from the Family Expenditure Survey for five selected years between 1968 and 1990 to examine trends in the income distribution in the UK, highlighting the role of women's labour force participation and earnings. The increased labour force participation of married women (especially mothers of young children in the 1980s) made a greater contribution to the decline of the 'traditional' male breadwinner family than the increased number of lone parents. The lower half of the distribution of weekly earnings became increasingly dominated by women. Though women's weekly earnings remained low relative to men's, the increase in their participation meant that, over the period, an increased share of family income came from women's labour market income: in 1990 nearly a quarter of the income of families with children came from women's earnings. Women's earnings were an important factor in keeping families out of poverty. There was no trend towards increasing feminization of poverty over the sample period. Adult women were somewhat more likely to be poor than adult men were, but female-headed families were very much more likely to be in poverty, and much more dependent on state benefits, than male-headed families were. Women's increased role in the labour market affected those in male-headed families more than those in female-headed families. Alongside a broad tendency for women's earnings to reduce poverty and inequality, there is evidence that the female population has become more economically polarized.  相似文献   

4.
This article considers the estimation of R = P(Y < X) when X and Y are distributed as two independent three-parameter generalized exponential (GE) random variables with different shape parameters but having the same location and scale parameters. A modified maximum likelihood method and a Bayesian technique are used to estimate R on the basis of independent complete samples. The Bayes estimator cannot be obtained in explicit form, and therefore it has been determined using an importance sampling procedure. An analysis of a real life data set is presented for illustrative purposes.  相似文献   

5.
The concepts of relative risk and hazard ratio are generalized for ordinary ordinal and continuous response variables, respectively. Under the generalized concepts, the Cox proportional hazards model with the Breslow's and Efron's methods can be regarded as generalizations of the Mantel–Haenszel estimator for dealing with broader types of covariates and responses. When ordinal responses can be regarded as discretized observations of a hypothetical continuous variable, the estimated relative risks from the Cox model reflect the associations between the responses and covariates. Examples are given to illustrate the generalized concepts and wider applications of the Cox model and the Kaplan–Meier estimator.  相似文献   

6.
In this paper, maximum likelihood and Bayesian approaches have been used to obtain the estimation of \(P(X<Y)\) based on a set of upper record values from Kumaraswamy distribution. The existence and uniqueness of the maximum likelihood estimates of the Kumaraswamy distribution parameters are obtained. Confidence intervals, exact and approximate, as well as Bayesian credible intervals are constructed. Bayes estimators have been developed under symmetric (squared error) and asymmetric (LINEX) loss functions using the conjugate and non informative prior distributions. The approximation forms of Lindley (Trabajos de Estadistica 3:281–288, 1980) and Tierney and Kadane (J Am Stat Assoc 81:82–86, 1986) are used for the Bayesian cases. Monte Carlo simulations are performed to compare the different proposed methods.  相似文献   

7.
This paper provides tables for the construction and selection of tightened–normal–tightened variables sampling scheme of type TNTVSS (n 1, n 2; k). The method of designing the scheme indexed by (AQL, α) and (LQL, β) is indicated. The TNTVSS (n T , n N; k) is compared with conventional single sampling plans for variables and with TNT (n 1, n 2; c) scheme for attributes, and it is shown that the TNTVSS is more efficient.  相似文献   

8.
We consider the estimation problem of the probability P=P(X>Y) for the standard Topp–Leone distribution. After discussing the maximum likelihood and uniformly minimum variance unbiased estimation procedures for the problem on both complete and left censored samples, we perform a Monte Carlo simulation to compare the estimators based on the mean square error criteria. We also consider the interval estimation of P.  相似文献   

9.
In this note we consider the equality of the ordinary least squares estimator (OLSE) and the best linear unbiased estimator (BLUE) of the estimable parametric function in the general Gauss–Markov model. Especially we consider the structures of the covariance matrix V for which the OLSE equals the BLUE. Our results are based on the properties of a particular reparametrized version of the original Gauss–Markov model.   相似文献   

10.
The Birnbaum–Saunders (BS) distribution is a positively skewed distribution and is a common model for analysing lifetime data. In this paper, we discuss the existence and uniqueness of the maximum likelihood estimates (MLEs) of the parameters of BS distribution based on Type-I, Type-II and hybrid censored samples. The line of proof is based on the monotonicity property of the likelihood function. We then describe the numerical iterative procedure for determining the MLEs of the parameters, and point out briefly some recently developed simple methods of estimation in the case of Type-II censoring. Some graphical illustrations of the approach are given for three real data from the reliability literature. Finally, for illustrative purpose, we also present an example in which the MLEs do not exist.  相似文献   

11.
12.
Let X and Y have two-parameter Burr XII distributions. The maximum-likelihood estimator of δ=P(X<Y) is studied under the progressively first failure-censored samples. Three confidence intervals of δ are constructed by using an asymptotic distribution of the maximum-likelihood estimator of δ and two bootstrapping procedures, respectively. Some computational results from intensive simulations are presented. An illustrative example is provided to demonstrate the application of the proposed method.  相似文献   

13.
14.
In the study of the reliability of technical systems, k-out-of-n systems play an important role. In the present paper, we consider a (nk + 1)-out-of-n system consisting of n identical components such that the lifetimes of components are independent and have a common distribution function F. It is assumed that the number of monitoring is l and the total number of failures of the components at time t i is m i , i = 1, . . . , l − 1. Also at time t l (t 1 < . . . < t l ) the system have failed or the system is still working. Under these conditions, the mean past lifetime, the mean residual lifetime of system and their properties are investigated.  相似文献   

15.
ABSTRACT

We consider asymptotic and resampling-based interval estimation procedures for the stress-strength reliability P(X < Y). We developed and studied several types of intervals. Their performances are investigated using simulation techniques and compared in terms of attainment of the nominal confidence level, symmetry of lower and upper error rates, and expected length. Recommendations concerning their use are given.  相似文献   

16.
In the identity of exchange I distinguish between currency and bank payments on one side and several types of transactions and the transfer of idle money on the other. An attempt is made to measure these variables, with varying success. On the payments side I argue that currency velocity is constant (and low) and that the vast rise of bank money velocity is largely due to increased short-term investment of idle funds. The results suggest an upward shift in the level of transactions in 1968–1972, which I attribute to changes in the international role of the dollar.  相似文献   

17.
According to ISO 5725-2 (1994), measurement results obtained in an interlaboratory experiment are inspected for consistency by plotting Mandel’s h and k statistics and for outliers by application of the Grubbs test and the Cochran test. Critical values of these statistics for significance levels α=5% and α=1% and for some numbers p of laboratories and n of repeated measurements in the laboratories are supplied in ISO 5725-2 without reference to methods for their calculation. In this paper, exact formulae for the critical values of Mandel’s h and k and approximate formulae for the critical values of the Single Grubbs test, the Double Grubbs test and the Cochran test are derived.  相似文献   

18.
ABSTRACT

This article considers the empirical Bayes estimation problem in the uniform distribution U(0, θ) with censored data. For the parameter θ, using the empirical Bayes (EB) approach, we propose an EB estimation of θ which possesses a rate of convergence can be arbitrarily close to O(n ?1/2) when the historical samples are randomly censored from the right, where n is the number of historical sample. A sample and some simulation results are also presented.  相似文献   

19.
20.
In the 1960s, W. B. Rosen conducted some remarkable experiments on unidirectional fibrous composites that gave seminal insights into their failure under increasing tensile load. These insights led him to a grid system where the nodes in the grid were ineffective   length fibers and to model the composite as something he called a chainofbundles model (i.e., a series system of parallel subsystems of horizontal nodes that he referred to as bundles), where the chain fails when one of the bundles fails. A load‐sharing rule was used to quantify how the load is borne among the nodes. Here, Rosen's experiments are analyzed to determine the shape of a bundle. The analysis suggests that the bundles are not horizontal collection of nodes but rather small rectangular grid systems of nodes where the load‐sharing between nodes is local in its form. In addition, a Gibbs measure representation for the joint distribution of binary random variables is given. This is used to show how the system reliability for a reliability structure can be obtained from the partition function for the Gibbs measure and to illustrate how to assess the risk of failure of a bundle in the chain‐of‐bundle model.  相似文献   

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