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41.
Estimated associations between an outcome variable and misclassified covariates tend to be biased when the methods of estimation that ignore the classification error are applied. Available methods to account for misclassification often require the use of a validation sample (i.e. a gold standard). In practice, however, such a gold standard may be unavailable or impractical. We propose a Bayesian approach to adjust for misclassification in a binary covariate in the random effect logistic model when a gold standard is not available. This Markov Chain Monte Carlo (MCMC) approach uses two imperfect measures of a dichotomous exposure under the assumptions of conditional independence and non-differential misclassification. A simulated numerical example and a real clinical example are given to illustrate the proposed approach. Our results suggest that the estimated log odds of inpatient care and the corresponding standard deviation are much larger in our proposed method compared with the models ignoring misclassification. Ignoring misclassification produces downwardly biased estimates and underestimate uncertainty.  相似文献   
42.
The problem considered is that of finding an optimum measurement schedule to estimate population parameters in a nonlinear model when the patient effects are random. The paper presents examples of the use of sensitivity functions, derived from the General Equivalence Theorem for D-optimality, in the construction of optimum population designs for such schedules. With independent observations, the theorem applies to the potential inclusion of a single observation. However, in population designs the observations are correlated and the theorem applies to the inclusion of an additional measurement schedule. In one example, three groups of patients of differing size are subject to distinct schedules. Numerical, as opposed to analytical, calculation of the sensitivity function is advocated. The required covariances of the observations are found by simulation.  相似文献   
43.
Summary.  Non-ignorable missing data, a serious problem in both clinical trials and observational studies, can lead to biased inferences. Quality-of-life measures have become increasingly popular in clinical trials. However, these measures are often incompletely observed, and investigators may suspect that missing quality-of-life data are likely to be non-ignorable. Although several recent references have addressed missing covariates in survival analysis, they all required the assumption that missingness is at random or that all covariates are discrete. We present a method for estimating the parameters in the Cox proportional hazards model when missing covariates may be non-ignorable and continuous or discrete. Our method is useful in reducing the bias and improving efficiency in the presence of missing data. The methodology clearly specifies assumptions about the missing data mechanism and, through sensitivity analysis, helps investigators to understand the potential effect of missing data on study results.  相似文献   
44.
Abstract. This document presents a survey of the statistical and combinatorial aspects of four areas of comparative genomics: gene order based measures of evolutionary distances between species, construction of phylogenetic trees, detection of horizontal transfer of genes, and detection of ancient whole genome duplications.  相似文献   
45.
On Optimality of Bayesian Wavelet Estimators   总被引:2,自引:0,他引:2  
Abstract.  We investigate the asymptotic optimality of several Bayesian wavelet estimators, namely, posterior mean, posterior median and Bayes Factor, where the prior imposed on wavelet coefficients is a mixture of a mass function at zero and a Gaussian density. We show that in terms of the mean squared error, for the properly chosen hyperparameters of the prior, all the three resulting Bayesian wavelet estimators achieve optimal minimax rates within any prescribed Besov space     for p  ≥ 2. For 1 ≤  p  < 2, the Bayes Factor is still optimal for (2 s +2)/(2 s +1) ≤  p  < 2 and always outperforms the posterior mean and the posterior median that can achieve only the best possible rates for linear estimators in this case.  相似文献   
46.
Demonstrated equivalence between a categorical regression model based on case‐control data and an I‐sample semiparametric selection bias model leads to a new goodness‐of‐fit test. The proposed test statistic is an extension of an existing Kolmogorov–Smirnov‐type statistic and is the weighted average of the absolute differences between two estimated distribution functions in each response category. The paper establishes an optimal property for the maximum semiparametric likelihood estimator of the parameters in the I‐sample semiparametric selection bias model. It also presents a bootstrap procedure, some simulation results and an analysis of two real datasets.  相似文献   
47.
统计执法的博弈分析   总被引:1,自引:0,他引:1  
针对目前中国统计数据失真相当严重并引起社会各界普遍关注的现象,运用博弈论作为分析工具,引入重复博弈研究了统计执法中数据报方与查方的利益冲突关系,从统计执法的角度揭示了统计数据失真的主要原因,并提出了相应的五项对策。  相似文献   
48.
经贸院系英语教学模式探讨   总被引:1,自引:0,他引:1  
分析目前我国英语教学与研究的误区。提出经贸院系学生应达到的英语水平目标;探讨经贸院系英语教学可采取六种教学模式。  相似文献   
49.
翻译:意识形态的建构、解构、重建与解读   总被引:1,自引:0,他引:1  
翻译不仅是语言之间信息转换的文化活动,而且是一系列复杂的思维活动。意识形态以不同的语言形式隐藏在语篇之中,以各种隐蔽方式潜移默化地影响着作者写作、译者翻译以及读者解读文本。本文拟以批评语言学为主要方法论,强调翻译中语言分析和社会分析相结合的重要性,同时主张翻译研究应以语篇为单位,特别注意考察作者、译者、读者在翻译过程中的三元关系及其在意识形态的建构、解构、重建和解读过程中的作用,以便弄清翻译的本质并有效地解释那些"不忠"的现象。  相似文献   
50.
基于非线性网状创新模型提出的“三螺旋场”和“三螺旋循环”概念进一步推进了三螺旋创新模式的理论研究。三螺旋场概念旨在解释在大学、产业和政府三股螺旋之间存在的相对独立和彼此作用的本质,说明三螺旋的生成原理、静态表现和动态演化特征。三螺旋的生成原理在于创新过程的非线性本质和多主体特征,静态表现为“内核外场模型”,而动态演化过程则在于纵向进化和横向循环。发生在三股螺旋之间的三螺旋循环揭示了在大学、产业和政府之间以人员、信息和产品流动为特征的相互作用和运行机制。  相似文献   
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