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741.
This article analyzes the impact of religion on reported levels of subjective well‐being (general happiness) among lesbian, gay, bisexual, and transgender (LGBT) adults. Although previous studies find religious affiliation to be a significant predictor of subjective well‐being among the general population in the United States, limited quantitative research investigates general happiness among sexual and gender minorities. This study augments the existing literature by using a national survey of LGBT adults conducted by the Pew Research Center in 2013. The results show that religious affiliation is a significant predictor of LGBT individuals’ happiness. LGBT individuals who identify as Catholic, agnostic or atheist, or with no particular religious affiliation report lower levels of happiness compared to mainline Protestants. Surprisingly, no significant differences are found between mainline Protestants (whose church doctrine often accepts same‐sex relations) and evangelical Protestants (whose church doctrine often condemns same‐sex relations). In addition, income is the only control variable that affects general happiness. Our analysis reveals interesting differences in the determinants of subjective well‐being between the LGBT and general population.  相似文献   
742.
Outliers are commonly observed in psychosocial research, generally resulting in biased estimates when comparing group differences using popular mean-based models such as the analysis of variance model. Rank-based methods such as the popular Mann–Whitney–Wilcoxon (MWW) rank sum test are more effective to address such outliers. However, available methods for inference are limited to cross-sectional data and cannot be applied to longitudinal studies under missing data. In this paper, we propose a generalized MWW test for comparing multiple groups with covariates within a longitudinal data setting, by utilizing the functional response models. Inference is based on a class of U-statistics-based weighted generalized estimating equations, providing consistent and asymptotically normal estimates not only under complete but missing data as well. The proposed approach is illustrated with both real and simulated study data.  相似文献   
743.
744.
The Rényi entropy is a generalisation of the Shannon entropy and is widely used in mathematical statistics and applied sciences for quantifying the uncertainty in a probability distribution. We consider estimation of the quadratic Rényi entropy and related functionals for the marginal distribution of a stationary m-dependent sequence. The U-statistic estimators under study are based on the number of ε-close vector observations in the corresponding sample. A variety of asymptotic properties for these estimators are obtained (e.g. consistency, asymptotic normality, and Poisson convergence). The results can be used in diverse statistical and computer science problems whenever the conventional independence assumption is too strong (e.g. ε-keys in time series databases and distribution identification problems for dependent samples).  相似文献   
745.
Several attempts were made in the literature to generalize the notions based on univariate quantiles to higher dimensions. As quantile-based reliability concepts are receiving much attention, it is important to address these problems in the field of Reliability theory. In this paper, bivariate reliability concepts using the dependence structure are introduced. The properties and characterizations of the bivariate reliability concepts are presented; it includes the characterization based on the relationship between bivariate hazard rate and bivariate mean residual life. The bivariate reliability concepts in reversed time are also studied.  相似文献   
746.
Finite mixture models have provided a reasonable tool to model various types of observed phenomena, specially those which are random in nature. In this article, a finite mixture of Weibull and Pareto (IV) distribution is considered and studied. Some structural properties of the resulting model are discussed including estimation of the model parameters via expectation maximization (EM) algorithm. A real-life data application exhibits the fact that in certain situations, this mixture model might be a better alternative than the rival popular models.  相似文献   
747.
This paper is an attempt to analyze the effect of scrambled response techniques to estimate the current population mean in two-occasion successive sampling when study and auxiliary variables are sensitive in nature. Using additive and multiplicative scrambled response models on both occasions, some generalized estimation strategies of current population mean have been proposed and their properties are examined. Empirical studies are performed on real data (abortion rate in the states of United States) and simulation studies are also carried out to evaluate the performances of the proposed estimators over other estimators. Results have proved the worthiness of the scrambled response techniques in real-life situations.  相似文献   
748.
In the first n, n ? 3, trials of a non homogeneous zero-one Markov chain of first order, we consider runs of ones of length exceeding a threshold. The article deals with statistics denoting, the length and the position of the shortest segment of the chain in which all such runs of ones are concentrated. The study provides recursive schemes for conditional distributions of these statistics. Numerical examples illustrate the theoretical results.  相似文献   
749.
750.
Quantile-based reliability analysis has received much attention recently. We propose new quantile-based tests for exponentiality against decreasing mean residual quantile function (DMRQ) and new better than used in expectation (NBUE) classes of alternatives. The exact null distribution of the test statistic is derived when the alternative class is DMRQ. The asymptotic properties of both the test statistics are studied. The performance of the proposed tests with other existing tests in the literature is evaluated through simulation study. Finally, we illustrate our test procedure using real data sets.  相似文献   
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