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361.
E. Kofler, G. Menges: Entscheidungen bei unvollständiger Information. Lecture Notes in Economics and Mathematical Systems 136. Springer-Verlag, Berlin-Heidelberg-NewYork 1976, 357 S., DM 31. B. S. Everitt: The Analysis ot Contingency Tables. Chapman and Han, London 1977, 128 S., £ 3.75. O. Barndorff-Nielsen: Information and Exponential Families in Statistical Theory. J. Wiley & Sons, Chichester-New York-Brisbane-Toronto 1978, 247 S., £ 13.50; $ 28.50. W. Gilchrist: Statisticai Forecasting. J. Wiley & Sons, London-New York-Sydney-Toronto 1976, 321 S., £ 9.50; $ 19.00. J. M. Chambers: Computational Methods for Data Analysis. J. Wiley & Sons, New York Chichester-Brisbane-Toronto 1977, 279 pp., £ 11.30. A. Hughes, D. Grawoig: Statistics: A Foundation for Analysis. Addison-Wesley Publishing Company, Reading-Menlo-Park London-Don Mills 1971, 525 S., $ 11.50. K.Krickeberg, H.Ziezold: Stochastiche Methoden. Springer Verlag, Berlin-Heidelberg-New York 1977, 201 S., 13 Abb., DM 28. Ch. Schneeweiss: Inventory-Production Theory. A Linear Policy Approach. Lecture Notes in Economics and Mathematical Systems 151. Springer Verlag, Berlin-Heidelberg-NewYork 1977, 122 S., 13 Abb., 9 Tab., DM 18. S. Dworatschek: Grundlagen der Datenverarbeltung, 6., völlig neu bearb. u. erw. Aufl., Walter de Gruyter, Berlin-New York 1977, 538 S., 200 Abb., 212 Üb.Aufg., 59 Fotos, DM 38. H. E. Steinhagen, S. Fuchs:Objekterkennung. Einführung in die mathematischen Methoden der Zeichenerkennung. VEB Verlag Technik, Berlin 1976, 436 S., 165 Abb., 32 Tab., 49,–.M. G. Tinhofer: Mathematik für Studlenanfänger, Carl Hanser Verlag, München 1977, 464 S., 191 Abb., DM 38. 相似文献
362.
R. Thrum 《Statistics》2013,47(2):333-346
363.
In this paper, we develop a generalized version of the two-piece skew normal distribution of Kim [On a class of two-piece skew-normal distributions, Statistics 39(6) (2005), pp. 537–553] and derive explicit expressions for its distribution function and characteristic function and discuss some of its important properties. Further estimation of the parameters of the generalized distribution is carried out. 相似文献
364.
Egmar Rödel 《Statistics》2013,47(4):573-585
Normed bivariate density funtions were introduced by HOEFFDING (1940/41). In the present paper estimators for normed bivariate ranks and on a FOURIER series expansion in LEGENDRE polynomials. The estimation of normed bivarate density functions under positive dependence is also described 相似文献
365.
366.
Upper and lower bounds are obtained for the mean of the negative binomial distribution. These bounds are simple functions of a percentile determined by the shape parameter. The result is then used to obtain a robust estimate of the mean when the shape parameter is known. 相似文献
367.
Partitioning the variance of a response by design levels is challenging for binomial and other discrete outcomes. Goldstein (2003) proposed four definitions for variance partitioning coefficients (VPC) under a two-level logistic regression model. In this study, we explicitly derived formulae for multi-level logistic regression model and subsequently studied the distributional properties of the calculated VPCs. Using simulations and a vegetation dataset, we demonstrated associations between different VPC definitions, the importance of methods for estimating VPCs (by comparing VPC obtained using Laplace and penalized quasilikehood methods), and bivariate dependence between VPCs calculated at different levels. Such an empirical study lends an immediate support to wider applications of VPC in scientific data analysis. 相似文献
368.
R.L. Scheaffer 《统计学通讯:理论与方法》2013,42(2):149-158
Four methods of approximating confidence limits for the single negative binomial parameter, P, are outlined and an empirical study is presented. Some remarks on prediction intervals are also included. 相似文献
369.
Testing the equal means hypothesis of a bivariate normal distribution with homoscedastic varlates when the data are incomplete is considered. If the correlational parameter, ρ, is known, the well-known theory of the general linear model is easily employed to construct the likelihood ratio test for the two sided alternative. A statistic, T, for the case of ρ unknown is proposed by direct analogy to the likelihood ratio statistic when ρ is known. The null and nonnull distribution of T is investigated by Monte Carlo techniques. It is concluded that T may be compared to the conventional t distribution for testing the null hypothesis and that this procedure results in a substantial increase in power-efficiency over the procedure based on the paired t test which ignores the incomplete data. A Monte Carlo comparison to two statistics proposed by Lin and Stivers (1974) suggests that the test based on T is more conservative than either of their statistics. 相似文献
370.
Incomplete moments are used to characterize income inequality and provide the basis for interdistributional Lorenz curves. Four measures of interdistributional inequality are considered and seen to be related to an interdistributional welfare interpretation. Based upon these measures, there has been a significant secular decline in interdistributional inequality between blacks and whites over the past 30 years. 相似文献