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311.
K. Afsarinejad 《统计学通讯:理论与方法》2013,42(11):3985-4028
Any experiment in which one or more of the experimental units is used more than once is called a repeated measurements experiment. The associated design of a repeated measurements experiment is referred to as a repeated measurements design. This review covers some known results on repeated measurements designs. Emphasis is placed on the impact of optimal design theory. Some construction methods for these designs are presented. Hedayat and Afsarinejad (1975) has an extensive bibliography of earlier literature. A bibliography of these designs published after 1974 is provided at the end of this paper. 相似文献
312.
K.S. Madhava Rao 《统计学通讯:理论与方法》2013,42(12):4559-4568
Nonparametric test statistics are constructed by considering the medians in subsamples of appropriate size taken -from n independent observations. These tests are shown to be sensitive to both heavy and moderate tailed distributions. 相似文献
313.
Certain recurrence relations for the moments of different orders of the largest order statistic from a gamma distribution with shape parameter p are obtained. By using this it is shown that for obtaining the moment of any order of each order statistic of a sample of size n from the gamma distribution, one has to evaluate at most n-2 single integrals. 相似文献
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We derive a theoretical and parametrized form for a two-way contingency table by using matrix calculus and Kronecker products. 相似文献
316.
For testing the equality of K-populations against ordered alternatives a quadratic form based on two-sample scores of (K-l) pairs of adjacent samples has been suggested as an alternative to the statistic proposed by Beslow(1970). The Pitman asymptotic efficiency of the proposed statistic relative to the Breslow's statistic is found to be one or very close to one in all cases considered. The Bahadur asymptotic efficiency has also been studied and found to be at least one for the situations taken up in this paper. 相似文献
317.
The problem of classifying a covariance stationary normal time series is considered. Under certain regularity conditions, a compact form of the linear discriminant function in the sense of maximizing the Bhattacharyya distance is obtained. 相似文献
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The investigation of multi-parameter likelihood functions is simplified if the log likelihood is quadratic near the maximum, as then normal approximations to the likelihood can be accurately used to obtain quantities such as likelihood regions. This paper proposes that data-based transformations of the parameters can be employed to make the log likelihood more quadratic, and illustrates the method with one of the simplest bivariate likelihoods, the normal two-parameter likelihood. 相似文献