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991.
C.G. Bhattacharya 《Statistics》2013,47(4):493-501
The paper reconsider certain estimators proposed by COHENand SACKROWITZ[Ann.Statist.(1974)2,1274-1282,Ann.Statist.4,1294]for the common mean of two normal distributions on the basis of independent samples of equal size from the two populations. It derives the ncecessary and sufficient condition for improvement over the first sample mean, under squared error loss, for any member of a class containing these. It shows that the estimator proposded by them for simultaneous improvement over botyh sample means has the desired property if and only if the common size of the samples is at least nine. The requirement is milder than that for any other estimator at the present state of knolwledge and may be constrasted with their result which implies the desired property of the estimator only if the common size of the samples is at least fifteen. Upper bounds for variances if the estimators derived by them are also improved 相似文献
992.
Periodic autoregressions are characterised by autoregressive structures that vary with the season. If a time series is periodically integrated, one needs a seasonally varying differencing filter to remove the stochastic trend. When the periodic regression model contains constants and trends with unrestricted parameters, the data can show diverging seasonal deterministic trends. In this paper we derive explicit expressions for parameter restrictions that result in common deterministic trends under periodic trend stationarity and periodic integration. 相似文献
993.
Two approaches to the problem of goodness-of-fit with nuisance parameters are presented in this paper, both based on modifications of the Kolmogorov-Smirnov statistics. Improved tables of critical values originally computed by Lilliefors and Srinivasan are presented in the normal and exponential cases. Also given are tables for the uniform case, normal with known mean and normal with known variance. All tables were computed using Monte Carlo simulation with sample size n = 20000. 相似文献
994.
In this paper, the authors derived the large sample distribution of the t statistic based upon the observations on the first principal component instead of the original variables. It is shown that the above statistic is distributed asymptotically as Student's t distribution. 相似文献
995.
996.
997.
A new way of researching into supply chain management is introduced by adopting a supplier perspective. Details are given of mixed integer linear planning and simulation models. The planning model takes into consideration firm and forecast orders (customer's forecast purchasing orders) and the behaviour of the supplier's suppliers and suppliers' subcontractors. The simulation model takes into account the dynamic behaviour of the supply chain and includes the planning production behaviour of a supplying company based on the planning model. The supplier manager can use the simulation model to determine what kind of parameters most affect company performances and then propose new management rules. Quantitative results that prove the benefits of integrating forecast orders for an aeronautic supplier have been provided. 相似文献
998.
Masako Okura Bey-Ling Sha C. Richard Hofstetter 《Journal of Public Relations Research》2013,25(1):51-70
Environmental uncertainty provides the context for public relations practices. Arguably, environmental uncertainty leads to greater organizational responsiveness to those environments through strategic planning. This survey of 505 American Public Relations Society of America members indicated, however, that perceived environmental conditions were less important to management decision-making than how those conditions were translated or packaged as decision-making inputs through formal environmental scanning mechanisms. Environmental uncertainty had no impact on decision making, once the mediating influence of formal scanning was controlled. 相似文献
999.
1000.
The economically optimal sample size in a food safety test balances the marginal costs and marginal benefits of increasing the sample size. We provide a method for selecting the sample size when testing beef trim for Escherichia coli O157:H7 that equates the averted costs of recalls and health damages from contaminated meats sold to consumers with the increased costs of testing while allowing for uncertainty about the underlying prevalence rates of contamination. Using simulations, we show that, in most cases, the optimal sample size is larger than the current sample size of 60 and, in some cases, it exceeds 120. Moreover, lots with a lower prevalence rate have a higher expected damage because contamination is more difficult to detect. Our simulations indicate that these lots have a higher optimal sampling rate. 相似文献