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61.
针对科技奖励评价的特点,根据改进D—S证据合成规则,将专家的评价指标值转化为指标的综合得分并形成决策矩阵;结合TOPSIS模型求解理想解和负理想解,计算距离和贴近度,对各评价项目进行综合排名。实证结果表明:该模型能够很好地解决科技奖励评价过程中的不确定性问题,为科技奖励综合评价提供了一种新的思路。  相似文献   
62.
Analytical methods for interval estimation of differences between variances have not been described. A simple analytical method is given for interval estimation of the difference between variances of two independent samples. It is shown, using simulations, that confidence intervals generated with this method have close to nominal coverage even when sample sizes are small and unequal and observations are highly skewed and leptokurtic, provided the difference in variances is not very large. The method is also adapted for testing the hypothesis of no difference between variances. The test is robust but slightly less powerful than Bonett's test with small samples.  相似文献   
63.
A survey of business schools was conducted to obtain information about the current state of the teaching of business statistics to students enrolled in M.B.A. degree programs. The survey was undertaken for and presented at a June 1986 conference on “Making Statistics More Effective in Schools of Business,” held at the University of Chicago's Graduate School of Business. Information was elicited concerning both the required statistics sequence and elective statistics courses for M.B.A. students, as well as computer usage in these courses. This article summarizes the information obtained from the survey.  相似文献   
64.
There is a tremendous need in our technological society to train statisticians for all sectors of education, government, and industry. Because statistical training has largely been restricted to graduate schools, the profession is losing many good students to other fields of study. Members of the statistics community are encouraged to reach out to high-school students and undergraduate students to increase the awareness of statistics as a scientific field of study and as a professional career. The ASA Council of Chapters has recently completed a slide presentation entitled “Statistical Science: The Profession,” which was professionally developed to aid this endeavor. In addition, high-school teachers, high-school counselors, and professors of mathematics and science education are identified as important audiences for hearing this message and for broadening general public awareness of what our profession has to offer.  相似文献   
65.
A Theory for Coloring Bivariate Statistical Maps   总被引:1,自引:0,他引:1  
Consideration of some practical uses of statistical bivariate maps—for example, display of association between variables—leads to principles for making effective use of color to represent data values. Effective color schemes for bivariate maps are viewed as continuous transformations from color models to the unit square with appropriate restrictions involving hue, saturation, and brightness. Several schemes, including those used by the U.S. Census Bureau, are criticized on the basis of this theory.  相似文献   
66.
Modern exploratory data analysis produces models that are not based on physical theory but that are consistent with pictures of the data. When both X and Y have error this can be risky, because important features are hidden. Two examples are given that show that systematic model departures and heteroscedasticity may not be detectable with standard regression diagnostics.  相似文献   
67.
This article provides a method of interpreting a surprising inequality in multiple linear regression: the squared multiple correlation can be greater than the sum of the simple squared correlations between the response variable and each of the predictor variables. The interpretation is obtained via principal component analysis by studying the influence of some components with small variance on the response variable. One example is used as an illustration and some conclusions are derived.  相似文献   
68.
The standard tensile test is one of the most frequent tools performed for the evaluation of mechanical properties of metals. An empirical model proposed by Ramberg and Osgood fits the tensile test data using a nonlinear model for the strain in terms of the stress. It is an Error-In-Variables (EIV) model because of the uncertainty affecting both strain and stress measurement instruments. The SIMEX, a simulation-based method for the estimation of model parameters, is powerful in order to reduce bias due to the measurement error in EIV models. The plan of this article is the following. In Sec. 2, we introduce the Ramberg–Osgood model and another reparametrization according to different assumptions on the independent variable. In Sec. 3, there is a summary of SIMEX method for the case at hand. Section 4 is a comparison between SIMEX and others estimating methods in order to highlight the peculiarities of the different approaches. In the last section, there are some concluding remarks.  相似文献   
69.
The ranking of paired contestants (players) after a series of contests is difficult when every player does not play every other player. In the 1975 JASA Mark Thompson presented a maximum likelihood solution based on the assumption that the probability of any one player defeating any other is a function only of the difference in their ranks. Here the linear approximation to that likelihood is shown to lead to a nonparametric measure of the efficacy of the ranking, called the net difference in ranks (NDR) , which is the sum of the differences in ranks of the paired players in the observed contests that agree with the ranking minus the sum of the differences in ranks in the observed contests that disagree with the ranking (upsets) . The subject is part of a large literature that has been consolidated by H.A. David in The Method of Paired Comparisons (1963, 1988). The method was introduced by the psychophysicist Fechner in 1860 and has been widely applied to sensory testing,  相似文献   
70.
The Akaike Information Criterion (AIC) is developed for selecting the variables of the nested error regression model where an unobservable random effect is present. Using the idea of decomposing the likelihood into two parts of “within” and “between” analysis of variance, we derive the AIC when the number of groups is large and the ratio of the variances of the random effects and the random errors is an unknown parameter. The proposed AIC is compared, using simulation, with Mallows' C p , Akaike's AIC, and Sugiura's exact AIC. Based on the rates of selecting the true model, it is shown that the proposed AIC performs better.  相似文献   
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