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241.
After observing n independent responses at n corresponding design points in a linear regression setting, one wishes to make a confidence statement about future responses that will apply simultaneously to all possible design points. Two appropriate prediction regions are derived using normal theory.  相似文献   
242.
A statistical software package is a collaborative effort between a program's authors and users. When statistical analysis took place exclusively on mainframe computers, the entire statistical community was served by some three to six major packages, which helped to ensure that program errors would be quickly uncovered and corrected. The current trend toward performing statistical analysis on microcomputers has resulted in an explosion of software of varying quality, with more than 200 packages for the IBM PC alone. Since all of these programs are competing for the same base of knowledgeable users, the number of sophisticated users per package is dramatically less than for mainframe packages; the net result is that problems in any particular package are more likely to go unnoticed and uncorrected. For example, the most widely used shareware package contains major errors that should cause it to be rejected out of hand, and three best-selling packages analyze unbalanced two-factor experiments using an approximate technique originally developed for hand calculation. Several strategies are offered to help author and user reveal any problems that might be present in their software.  相似文献   
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Abstract

This paper opens discussion about the periodicals that are left behind in the debate over the transition from print to electronic journals in academic libraries, particularly college libraries. The author annotates 100 English-language print magazines titles that support a liberal arts curriculum and the leisure reading of an American college community. These titles should be maintained in print versions for browsing and usefulness, even if online availability exists. Magazines, with their mix of articles, illustrations, sidebars, tables, charts, graphs, lists, and short features, still have an important place in college libraries.  相似文献   
246.
Abstract

In December 2012, Eric Hanson interviewed Christopher Cronin, director of technical services at the University of Chicago, about their participation as an RDA test partner and issues surrounding RDA training and implementation.  相似文献   
247.
In this paper, methods are proposed in finding the robust design in both Taguchi and Standard setups when a signal factor is present. The robust design is a set of level combinations of control factors so that the effect of controllable noise factors on response is minimum. Both univariate and multivariate methods are used in finding the influential noise factors for the determination of robust designs.  相似文献   
248.
A new core methodology for creating nonparametric L-quantile estimators is introduced and three new quantile L-estimators (SV1 p , SV2 p , and SV3 p ) are constructed using the new methodology. Monte Carlo simulation was used in order to investigate the performance of the new estimators for small and large samples under normal distribution and a variety of light and heavy-tailed symmetric and asymmetric distributions. The new estimators outperform, in most of the cases studied, the Harrell–Davis quantile estimator and the weighted average at X ([np]) quantile estimator.  相似文献   
249.
ABSTRACT

We introduce a new four-parameter generalization of the exponentiated power Lindley (EPL) distribution, called the exponentiated power Lindley power series (EPLPS) distribution. The new distribution arises on a latent complementary risks scenario, in which the lifetime associated with a particular risk is not observable; rather, we observe only the minimum lifetime value among all risks. The distribution exhibits a variety of bathtub-shaped hazard rate functions. It contains as particular cases several lifetime distributions. Various properties of the distribution are investigated including closed-form expressions for the density function, cumulative distribution function, survival function, hazard rate function, the rth raw moment, and also the moments of order statistics. Expressions for the Rényi and Shannon entropies are also given. Moreover, we discuss maximum likelihood estimation and provide formulas for the elements of the Fisher information matrix. Finally, two data applications are given showing flexibility and potentiality of the EPLPS distribution.  相似文献   
250.
ABSTRACT

We present methods for modeling and estimation of a concurrent functional regression when the predictors and responses are two-dimensional functional datasets. The implementations use spline basis functions and model fitting is based on smoothing penalties and mixed model estimation. The proposed methods are implemented in available statistical software, allow the construction of confidence intervals for the bivariate model parameters, and can be applied to completely or sparsely sampled responses. Methods are tested to data in simulations and they show favorable results in practice. The usefulness of the methods is illustrated in an application to environmental data.  相似文献   
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