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An operational definition for “rural area” is pivotal if proposals, policies and decisions aimed at optimising the distribution of resources, closing the gap on inequity between areas and raising standards of living for the least advantaged populations are to be put in place. The concept of rurality, however, is often based on alternative and conflicting definitions, requiring clarification of the underlying theoretical model. Traditionally a geographical area has been classified as rural by taking into account either the number of inhabitants or population density. Two kinds of problem are raised with this approach, however, namely: it is inherently difficult to describe such a complex concept as rurality with a single variable; and reducing the concept down to a rural/urban dichotomy by setting a non-universal cut-off point does not usually provide an accurate account of reality. Within the context of the rural–urban continuum, this paper has devised a rurality index for Spanish municipalities based on the 1991 Population, Housing and Household Survey. The index was built on a principal components factor analysis, giving rise to a single factor that is correlated to the aging of the population, economic dependency, farming, livestock or fishing-related employment, habitability of housing and population density. A score to each municipality was allocated. This index can be regularly updated thus enabling the progress of the concept of rurality to be monitored in our setting over time and then compared with other countries using the same methods.  相似文献   
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We formulate a new cure rate survival model by assuming that the number of competing causes of the event of interest has the Poisson distribution, and the time to this event has the generalized linear failure rate distribution. A new distribution to analyze lifetime data is defined from the proposed cure rate model, and its quantile function as well as a general expansion for the moments is derived. We estimate the parameters of the model with cure rate in the presence of covariates for censored observations using maximum likelihood and derive the observed information matrix. We obtain the appropriate matrices for assessing local influence on the parameter estimates under different perturbation schemes and present some ways to perform global influence analysis. The usefulness of the proposed cure rate survival model is illustrated in an application to real data.  相似文献   
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In this paper we derive general formulae for the biases to order n ?1 of the parameter estimates in a general class of nonlinear regression models, where n is the sample size. The formulae are related to those of Cordeiro and McCullagh (1991) and Paula (1992) and may be viewed as extensions of their results, Correction factors are derived for the score and deviance component residuals in these models. The practical use of such corrections is illustrated for the log-gamma model.  相似文献   
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For the first time, a new five-parameter distribution, called the beta generalized gamma distribution, is introduced and studied. It contains at least 25 special sub-models such as the beta gamma, beta Weibull, beta exponential, generalized gamma (GG), Weibull and gamma distributions and thus could be a better model for analysing positive skewed data. The new density function can be expressed as a linear combination of GG densities. We derive explicit expressions for moments, generating function and other statistical measures. The elements of the expected information matrix are provided. The usefulness of the new model is illustrated by means of a real data set.  相似文献   
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The interval-censored survival data appear very frequently, where the event of interest is not observed exactly but it is only known to occur within some time interval. In this paper, we propose a location-scale regression model based on the log-generalized gamma distribution for modelling interval-censored data. We shall be concerned only with parametric forms. The proposed model for interval-censored data represents a parametric family of models that has, as special submodels, other regression models which are broadly used in lifetime data analysis. Assuming interval-censored data, we consider a frequentist analysis, a Jackknife estimator and a non-parametric bootstrap for the model parameters. We derive the appropriate matrices for assessing local influence on the parameter estimates under different perturbation schemes and present some techniques to perform global influence.  相似文献   
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We present an application study which exemplifies a cutting edge statistical approach for detecting climate regime shifts. The algorithm uses Bayesian computational techniques that make time‐efficient analysis of large volumes of climate data possible. Output includes probabilistic estimates of the number and duration of regimes, the number and probability distribution of hidden states, and the probability of a regime shift in any year of the time series. Analysis of the Pacific Decadal Oscillation (PDO) index is provided as an example. Two states are detected: one is associated with positive values of the PDO and presents lower interannual variability, while the other corresponds to negative values of the PDO and greater variability. We compare this approach with existing alternatives from the literature and highlight the potential for ours to unlock features hidden in climate data.  相似文献   
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