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181.
Asymptotic distributions of regression-type estimators for the parameters of stable distributions am obtained. The asymptotic normalized standard deviations of the estimators are computed for various values of the parameters and various choices of the number of points used in getting the regression estimates.  相似文献   
182.
A pivotal quantity for a capture-recapture model is introduced and used to construct an asymptotic confidence region for (ε,N), where ε is the capture efficiency and N is the population size. The true confidence levels of certain regions are obtained by simulation. Certain confidence regions for (ε,N) are drawn to show the size of the regions and to show how confidence limits for N depend on ε.  相似文献   
183.
A class of asymptotically nonparametric test with contains a test proposed by Wei(1980), is considered for testing the equality of two continuous distribution funcitons when paired observations are subject to arbitrary right censorship. It is shown that under the null hypothesis each test statistic converges in distribution to the standard normal random variable. Furthermore. the Monte Carlo simulation results indicate that some tests in this class are more powerful than Wei's test. A generalization to incomplete censored paired data is also included.  相似文献   
184.
For a linear regression model over m populations with separate regression coefficients but a common error variance, a Bayesian model is employed to obtain regression coefficient estimates which are shrunk toward an overall value. The formulation uses Normal priors on the coefficients and diffuse priors on the grand mean vectors, the error variance, and the between-to-error variance ratios. The posterior density of the parameters which were given diffuse priors is obtained. From this the posterior means and variances of regression coefficients and the predictive mean and variance of a future observation are obtained directly by numerical integration in the balanced case, and with the aid of series expansions in the approximately balanced case. An example is presented and worked out for the case of one predictor variable. The method is an extension of Box & Tiao's Bayesian estimation of means in the balanced one-way random effects model.  相似文献   
185.
A simultaneous test for the location and scale parameters of the Cauchy distribution is considered based on selected order statistics.. It is shown that optimum spacings that maximise the Pitman ARE of the test coincide with that of the optimum spacings for the estimation problem.  相似文献   
186.
In quality control, a performance variable having a two-sided specification limit is common for assessing lot quality. Sometimes it is difficult or impossible to measure the performance variable directly; for example, when testing is destructive, expensive, or when the performance variable is related to the lifetime of the product. However, it may happen that there are several concomitant variables which are easily measured and which correlate highly with the variable of interest. Thus, one may use measurements on these variables to select or screen product which will have a high conditional probability of meeting product specification. We consider this situation when all variables have a joint multivariate normal distribution and the specification limits on the performance variable are two-sided.  相似文献   
187.
Nonparametric tests for the null hypothesis of no treatment effect in the mixed-model experiment which involves n randomly chosen subjects who respond once to each of ρ distinct treatments have been developed by Koch and Sen (1968), These tests were based on the assumption of compound symmetry of the error vectors and on the weaker assumption of diagonal symmetry of the error vectors. This paper considers an alternative (permutationally) distribution-free test under this latter assumption. The new test follows the same type of distribution theory as those in Koch and Sen, but utilizes the inherent invariance structure in a more visable and direct way.  相似文献   
188.
In earlier work (Gelfand and Smith, 1990 and Gelfand et al, 1990) a sampling based approach using the Gibbs sampler was offered as a means for developing marginal posterior densities for a wide range of Bayesian problems several of which were previously inaccessible. Our purpose here is two-fold. First we flesh out the implementation of this approach for calculation of arbitrary expectations of interest. Secondly we offer comparison with perhaps the most prominent approach for calculating posterior expectations, analytic approximation involving application of the LaPlace method. Several illustrative examples are discussed as well. Clear advantages for the sampling based approach emerge.  相似文献   
189.
Likelihood ratio tests for the homogeneity of k normal means with the alternative restricted by an increasing trend are considered as well as the likelihood ratio tests of the null hypothesis that the means satisfy the trend. While the work is primarily a survey of results concerning the power functions of these tests, the extensions of some results to the case of not necessarily equal sample sizes are presented. For the case of known or unknown population variances, exact expressions are given for the power functions for k=3,4, and approximations are discussed for larger k. The topics of consistency, bias and monotonicity of the power functions are included. Also, Bartholomew's conjectures concerning minimal and maximal powers are investigated, with results of a new numerical study given.  相似文献   
190.
Two equivalent methods (gene counting and maximum likelihood) for estimating gene frequencies in a general genetic marker system based on observed phenotype data are derived. Under the maximum likelihood approach, an expression is given for the estimated covariance matrix from which estimated standard errors of the estimators can be found. In addition, consideration is given to the problem of estimating gene frequencies when there are available several independent population data sets.  相似文献   
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