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61.
Jerzy Neyman 《统计学通讯:理论与方法》2013,42(8):737-751
Contrary to ideas suggested by the title of the conference at which the present paper was presented, the author is not aware of a conceptual difference between a “test of a statistical hypothesis” and a “test of significance” and uses these terms interchangeably. A study of any serious substantive problem involves a sequence of incidents at which one is forced to pause and consider what to do next. In an effort to reduce the frequency of misdirected activities one uses statistical tests. The procedure is illustrated on two examples: (i) Le Cam’s (and associates’) study of immunotherapy of cancer and (ii) a socio-economic experiment relating to low-income homeownership problems. 相似文献
62.
Richard Valliant 《商业与经济统计学杂志》2013,31(2):189-196
Estimators of chain and fixed-base Laspeyres price indexes are studied using the prediction approach to finite population sampling. The estimators include some that are based on those used in several U.S. government index programs and others derived from prediction models. Biases and variances of the estimators are studied for a case in which the reference period index weights are unknown for nonsample items. Under a model for a one-period price change in which items have common within-stratum means, unbiased estimators can be constructed, but under a more general regression model, special sample balance conditions are needed for unbiasedness of those estimators. The theory for the estimators of fixed-base indexes is illustrated in an empirical study using a population of items priced for the U.S. Consumer Price Index. 相似文献
63.
J. N. Lye 《Econometric Reviews》2013,32(2):217-234
This paper considers a general and computationally convenient method of evaluating the distribution function of statistics that are the ratio of a bilinear form to a quadratic form. Numerous Economemc applications of the method are given. 相似文献
64.
Kay G. Johnson 《Serials Review》2013,39(4):240-241
AbstractJohnson describes changes in library journal literature topics over the past one hundred years, with a focus on the period between her first Balance Point column in 2003 and this one, her last. She reminisces on her experience as a Balance Point column editor. 相似文献
65.
Rao (1963) introduced what we call an additive damage model. In this model, original observation is subjected to damage according to a specified probability law by the survival distribution. In this paper, we consider a bivariate observation with second component subjected to damage. Using the invariance of linearity of regression of the first component on the second under the transition of the second component from the original to the damaged state, we obtain the characterizations of the Poisson, binomial and negative binomial distributions within the framework of the additive damage model. 相似文献
66.
67.
The authors establish the joint distribution of the sum X and the maximum Y of IID exponential random variables. They derive exact formuli describing the random vector (X, Y), including its joint PDF, CDF, and other characteristics; marginal and conditional distributions; moments and related parameters; and stochastic representations leading to further properties of infinite divisibility and self-decomposability. The authors also discuss parameter estimation and include an example from climatology that illustrates the modeling potential of this new bivariate model. 相似文献
68.
69.
Since the introduction and definition of relationship algebras by James (1957), rolatively little use has been made of this theory in experimental design and analysis problems This may be due to the underlying theory of relationship algebras being previously accessible only in books on mathematical structure theory, e.g. van der Waerden (1950) This paper provides a development of the theory of relationship algebras beginning at an elementray level and including only those parts of mathematical structure theory which are essential to this development. An example of its application in derving an analysis due to alling (1967) is presented. 相似文献
70.
In this paper, we propose some alternative estimatiors to that given by C. G. Khatri and C. R. Rao (1985), for estimating Signal to Noise ratio. Using Pitman Nearness, Condition for prefering one estimator over the other is estabilished. It is shown numerically that estimators corresponding to Entropy loss function are better more oftern than those corresponding to Squared Error loss. 相似文献