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281.
In this paper, we consider the multivariate normality test based on measure of multivariate sample skewness defined by Srivastava (1984). Srivastava derived asymptotic expectation up to the order N−1 for the multivariate sample skewness and approximate χ2χ2 test statistic, where N   is sample size. Under normality, we derive another expectation and variance for Srivastava's multivariate sample skewness in order to obtain a better test statistic. From this result, improved approximate χ2χ2 test statistic using the multivariate sample skewness is also given for assessing multivariate normality. Finally, the numerical result by Monte Carlo simulation is shown in order to evaluate accuracy of the obtained expectation, variance and improved approximate χ2χ2 test statistic. Furthermore, upper and lower percentiles of χ2χ2 test statistic derived in this paper are compared with those of χ2χ2 test statistic derived by Mardia (1974) which is used multivariate sample skewness defined by Mardia (1970).  相似文献   
282.
283.
In this article, we discuss the maximum likelihood estimators and approximate maximum likelihood estimators of the parameters of the Weibull distribution with two different progressively hybrid censoring schemes. We also present the associated expressions of the expected total test time and the expected effective sample size which will be useful for experimental planning purpose. Finally, the efficiency of the point estimation of the parameters based on the two progressive hybrid censoring schemes are compared and the merits of each censoring scheme are discussed.  相似文献   
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285.
白仲林  白强 《统计研究》2016,33(3):18-23
对于一类异质性误差项存在截面相关性的近似因子模型,本文首先提出了估计共同因子向量和因子载荷矩阵的广义矩估计方法(GMM),该方法推广了Doz等(2012)的极大似然估计方法;其次,分别研究了模型参数广义矩估计的渐近性质和有限样本的统计性质,在适当的条件下,证明了参数的GMM估计是具有渐近正态分布的一致估计;最后,利用近似因子模型对我国各类上市公司增长性的共同驱动因素及其差异性进行了实证分析。  相似文献   
286.
Inference in generalized linear mixed models with multivariate random effects is often made cumbersome by the high-dimensional intractable integrals involved in the marginal likelihood. This article presents an inferential methodology based on the GEE approach. This method involves the approximations of the marginal likelihood and joint moments of the variables. It is also proposed an approximate Akaike and Bayesian information criterions based on the approximate marginal likelihood using the estimation of the parameters by the GEE approach. The different results are illustrated with a simulation study and with an analysis of real data from health-related quality of life.  相似文献   
287.
Many methodological studies depend on the product of two dependent correlation coefficients. However, the behavior of the distribution of the product of two dependent correlation coefficients is not well known. The distribution of sets of correlation coefficients has been well studied, but not the distribution of the product of two dependent correlation coefficients. The present study derives an approximation to the distribution of the product of two dependent correlation coefficients with a closed form, resulting in a Pearson Type I distribution. A simulation study is also conducted to assess the accuracy of the approximation.  相似文献   
288.
In the paper we suggest certain nonparametric estimators of random signals based on the wavelet transform. We consider stochastic signals embedded in white noise and extractions with wavelet denoizing algorithms utilizing the non-decimated discrete wavelet transform and the idea of wavelet scaling. We evaluate properties of these estimators via extensive computer simulations and partially also analytically. Our wavelet estimators of random signals have clear advantages over parametric maximum likelihood methods as far as computational issues are concerned, while at the same time they can compete with these methods in terms of precision of estimation in small samples. An illustrative example concerning smoothing of survey data is also provided.  相似文献   
289.
This paper develops the algorithm for the optimization designs of the adaptive T2 Control Chart for Monitoring the Mean Vector of a Multivariate Normal Process. It includes the variable sample size, variable sampling interval and variable dimensional chart. The VDT2 control chart performs well for moderate and large shifts in the mean vector. However, its performance for small shifts is poor. To improve the chart's performance in detecting such shifts, we propose the application of the variable sample size and sampling interval technique to the VDT2 control chart, resulting in the VSSIVDT2 control chart.  相似文献   
290.
针对我国城市道路交叉口的实际情况,在改进信号配时模型的基础上,采用一种新型随机搜索思想——人工蚂蚁优化算法来解决交叉口的信号配时问题.仿真试验表明,所得结果优于经典方法,在相同的信号周期内,降低了交叉口的总延误时间和停车次数,提高了通行能力.  相似文献   
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