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11.
This article is concerned with statistically and computationally efficient estimation in a hierarchical data setting with unequal cluster sizes and an AR(1) covariance structure. Maximum likelihood estimation for AR(1) requires numerical iteration when cluster sizes are unequal. A near optimal non-iterative procedure is proposed. Pseudo-likelihood and split-sample methods are used, resulting in computing weights to combine cluster size specific parameter estimates. Results show that the method is statistically nearly as efficient as maximum likelihood, but shows great savings in computation time.  相似文献   
12.
This paper develops the algorithm for the optimization designs of the adaptive T2 Control Chart for Monitoring the Mean Vector of a Multivariate Normal Process. It includes the variable sample size, variable sampling interval and variable dimensional chart. The VDT2 control chart performs well for moderate and large shifts in the mean vector. However, its performance for small shifts is poor. To improve the chart's performance in detecting such shifts, we propose the application of the variable sample size and sampling interval technique to the VDT2 control chart, resulting in the VSSIVDT2 control chart.  相似文献   
13.
The purpose of this study was to determine the frequency of sexual abuse and depression among street children who live in a deprived district of Tehran. The researchers used the K-SADS questionnaire and a clinical interview were used to evaluate depression and sexual abuse in 87 street children in Tehran. Eighteen (20.9%) of the children had been sexually abused. Depressed children were 3.2 times more likely to be sexually abused than non-depressed children. Furthermore, 26 girls (86.7%) and 27 boys (48.2%) suffered from depression. The frequency of depression demonstrated a significant association with the father's or breadwinner's history of imprisonment or unemployment. Interventional programs providing education and support should be implemented for street children.  相似文献   
14.
ABSTRACT. Objectives: The purpose of this study was to examine Iranian college students’ attitudes toward premarital sex and marriage before and after the Islamic Revolution. Methods: Responses to a survey from 526 students at University of Shiraz in 2011 were compared to those from another study of 392 students from the same university who completed the same survey in 1977 (2 years before the Islamic Revolution). Results: No substantial changes were observed to indicate that college students adopted theocratic views on premarital sex and marriage after the Islamic Revolution. Conclusions: The Islamic regime's efforts to cultivate conservative attitudes toward sexuality and marriage have not achieved their goals.  相似文献   
15.
Recently, Lee and Cha proposed two general classes of discrete bivariate distributions. They have discussed some general properties and some specific cases of their proposed distributions. In this paper we have considered one model, namely bivariate discrete Weibull distribution, which has not been considered in the literature yet. The proposed bivariate discrete Weibull distribution is a discrete analogue of the Marshall–Olkin bivariate Weibull distribution. We study various properties of the proposed distribution and discuss its interesting physical interpretations. The proposed model has four parameters, and because of that it is a very flexible distribution. The maximum likelihood estimators of the parameters cannot be obtained in closed forms, and we have proposed a very efficient nested EM algorithm which works quite well for discrete data. We have also proposed augmented Gibbs sampling procedure to compute Bayes estimates of the unknown parameters based on a very flexible set of priors. Two data sets have been analyzed to show how the proposed model and the method work in practice. We will see that the performances are quite satisfactory. Finally, we conclude the paper.  相似文献   
16.
Vahid Nekoukhou 《Statistics》2017,51(5):1143-1158
In this paper, we develop a bivariate discrete generalized exponential distribution, whose marginals are discrete generalized exponential distribution as proposed by Nekoukhou, Alamatsaz and Bidram [Discrete generalized exponential distribution of a second type. Statistics. 2013;47:876–887]. It is observed that the proposed bivariate distribution is a very flexible distribution and the bivariate geometric distribution can be obtained as a special case of this distribution. The proposed distribution can be seen as a natural discrete analogue of the bivariate generalized exponential distribution proposed by Kundu and Gupta [Bivariate generalized exponential distribution. J Multivariate Anal. 2009;100:581–593]. We study different properties of this distribution and explore its dependence structures. We propose a new EM algorithm to compute the maximum-likelihood estimators of the unknown parameters which can be implemented very efficiently, and discuss some inferential issues also. The analysis of one data set has been performed to show the effectiveness of the proposed model. Finally, we propose some open problems and conclude the paper.  相似文献   
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18.
Urban Ecosystems - Promoting urban greenery through tree planting strategies has been considered as a measure to mitigate climate change. While it is essential to understand the temporal dynamics...  相似文献   
19.
In this paper, a discrete counterpart of the general class of continuous beta-G distributions is introduced. A discrete analog of the beta generalized exponential distribution of Barreto-Souza et al. [2], as an important special case of the proposed class, is studied. This new distribution contains some previously known discrete distributions as well as two new models. The hazard rate function of the new model can be increasing, decreasing, bathtub-shaped and upside-down bathtub. Some distributional and moment properties of the new distribution as well as its order statistics are discussed. Estimation of the parameters is illustrated using the maximum likelihood method and, finally, the model with a real data set is examined.  相似文献   
20.
In this article we study two methodologies which identify and specify canonical form VARMA models. The two methodologies are: (1) an extension of the scalar component methodology which specifies canonical VARMA models by identifying scalar components through canonical correlations analysis; and (2) the Echelon form methodology, which specifies canonical VARMA models through the estimation of Kronecker indices. We compare the actual forms and the methodologies on three levels. Firstly, we present a theoretical comparison. Secondly, we present a Monte Carlo simulation study that compares the performances of the two methodologies in identifying some pre-specified data generating processes. Lastly, we compare the out-of-sample forecast performance of the two forms when models are fitted to real macroeconomic data.  相似文献   
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