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991.
Fixed sample size approximately similar tests for the Behrens-Fisher problem are studied and compared with various other tests suggested in current sttistical methodelogy texts. Several fourmoment approxiamtely similar tests are developed and offered as alternatives. These tests are shown to be good practical solutions which are easily implemented in practice. 相似文献
992.
Rahul Mukerjee 《统计学通讯:理论与方法》2013,42(5):1535-1548
This paper employs some variants of the usual Kronecker product to construct orthogonal factorial designs controlling the interaction efficiencies. The methods suggested have a fairly wide coverage and the resulting designs involve a small number of replicates. 相似文献
993.
A gamma regression model with an exponential link function for the means Is considered. Moment properties of the deviance statistics based on maximum likelihood and weighted least squares fits are used to define modified deviance statistics which provide alternative global goodness of fit tests. The null distribution properties of the deviances and modified deviances are compared with those of the approximating chi-square distribution and It is shown that the use of the modified deviances gives much better control over the significance levels of the tests. 相似文献
994.
Ronald L Iman 《统计学通讯:理论与方法》2013,42(5):1513-1540
Iman and Connver (1985, 1987) have suggested the top-down correlation coefficient as a measure of association when n objects are ranked by two or more independent sources and interest centers primarily on agreement in the top rankings, with disagreements on items at the bottom of the rankings being of little or no importance. The top-down correlation coefficient results from computing the ordinary Pearson correlation coefficient on Savage scores. Quantiles of the exact distribution of the top-down correlation coefficient based on the assumption of independent rankings are provided for n = 3(1)14. 相似文献
995.
M.S. Srivastava 《统计学通讯:理论与方法》2013,42(11):3285-3299
In this paper, the bootstrap method of Efron (1979) is given for a ranking and a slippage problem, where the ranking (or slippage) is with respect to the mean of the distributions. The method is also applied to obtain a confidence interval for the largest mean. 相似文献
996.
M.V. Ramakrishna 《统计学通讯:理论与方法》2013,42(11):3343-3353
We analyze the probability of a random distribution of n balls into m urns of size b resulting in no overflows. This solves the computational problem associated with a classical combinatorial extreme-value distribution. The problem arose during the analysis of a technique, called perfect hashing, for organizing data in computer files. The results and techniques presented can be used to solve several problems in the analysis of hashing techniques 相似文献
997.
Assuming that both birth and death rates are density and time dependent, a diffusion approximation of the generalized birth and death process has been considered in this paper to obtain a suitable stochastic population model describing the population size and its moments. A simple method of estimating the parameters of the model Is discussed. The predictions of the expected size of the population, and the variance are made and compared with the corresponding census figures as well as with another deterministic projection series made for the corresponding period. 相似文献
998.
Maximum likelihood estimators are investigated a for lr-out-of 2:G repairable system when failures and repairs are statistically dependent. Under two censoring schemes Accelerated Life Testing Procedure (ALTP) is used to obtain the estimates. Information matrices are supplied and a special case when the failure and repair phenomenon are independent of each other is considered. 相似文献
999.
A simple adaptation of a distribution-free method due to Scholz (1978) and Sievers (1978) for inference in a single regression setting is proposed for inference about the difference in slopes of two regression lines. We assume that the data are obtained from a designed experiment with common regression constants. A comparison of the proposed method to its competitors-one due to Hollander and the other due to Rao and Gore-indicates superiority of the new method. 相似文献
1000.
C.Y. Leung 《统计学通讯:理论与方法》2013,42(5):1659-1667
The performance of Anderson's classification statistic based on a post-stratified random sample is examined. It is assumed that the training sample is a random sample from a stratified population consisting of two strata with unknown stratum weights. The sample is first segregated into the two strata by post-stratification. The unknown parameters for each of the two populations are then estimated and used in the construction of the plug-in discriminant. Under this procedure, it is shown that additional estimation of the stratum weight will not seriously affect the performance of Anderson's classification statistic. Furthermore, our discriminant enjoys a much higher efficiency than the procedure based on an unclassified sample from a mixture of normals investigated by Ganesalingam and McLachlan (1978). 相似文献