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211.
随着网络技术的发展,以微博为代表的新媒体时代已经来临,成为影响政府话语权的重要因素。政府掌握着网络话语权的主导权,但由于民众权利意识觉醒、政府信息公开程度较低、政府难以及时回应、政府信息的发布“不接地气”等使得政府与民众的互动不足,网络话语平权使得政府话语权被分散、流失。政府在网络话语权的争夺中要加大信息公开的力度,正确对待网络言论,打击与疏导并重,建立政务微博运营团队,转变对话方式,将单向传递改为多向互动。  相似文献   
212.
For the balanced variance component model when the intraclass correlation coefficient is of interest, Bayesian analysis is often appropriate. Berger and Bernardo’s (1992a) grouped ordering reference prior approach is used to analyze this model. The reference priors are developed and compared for the posterior inference with real and simulated data. We examine whether the reference priors satisfy the probability-matching criterion. Further, the reference prior is shown to be good in the sense of correct frequentist coverage probability of the posterior quantile.  相似文献   
213.
国有企业改制中国有资产流失的原因分析及法律对策   总被引:3,自引:0,他引:3  
国企改制中的国有资产流失可分为两个阶段 ,一是在改制过程中由于低估、折股造成的损失 ,二是在改制后国有股运营中造成的利益损失。流失的主要原因是没有健全国有资产监管体制 ,资产评估不依法规范进行以及国有股不能上市流通。遏制国有资产流失主要在于尽快完善国有资产运管体制 ,严格规范资产评估行为 ,尽快实现国有股上市流通  相似文献   
214.
The reference priors of Berger and Bernardo (1992) are derived for normal populations with unknown variances when the product of means is of interest. The priors are also shown to be Tibshirani's (1989) matching priors.  相似文献   
215.
It is well known that even when the sample observations are correlated and not normal the sample variance, S2 converges in probability to E(S2). But the required sample size for S2 to be a consistent estimator of E(S2) is an open question. Some light is shed on this question in this paper. In particular the relation between the rate of convergence and the correlation property of the observations is explored. It is shown that the retardation to the rate of convergence is not appreciable if the correlation is moderate but it can be severe for extreme correlations.  相似文献   
216.
J. Ranta  T. Hovi  & E. Arjas 《Risk analysis》2001,21(6):1087-1096
Efficiency of environmental surveillance of poliovirus circulation was studied using simulation models. First, three transmission models were defined for describing different scenarios of poliovirus infections in a large unstructured population. Second, environmental factors, such as the total volume of the sewage network and losses of viruses, were modeled for computing the virus output at the sewage sampling site. Third, the effect of sampling and laboratory procedures was accounted for in the probability of detection, given the amount of polioviruses in a specimen. The simulation model can be used for theoretical assessments of the likely efficiency of environmental surveillance, compared with acute flaccid paralysis (AFP) surveillance. Under reasonable assumptions in a vaccinated population, the AFP surveillance can be outperformed if the poliovirus outbreak is not large. However, this depends on the assumed case-to-infection ratio and on the sampling frequency of the sewage water specimens. Increasing the latter will lead to a higher detection probability, which will further enhance the method based on environmental surveillance.  相似文献   
217.
The author proposes an adaptive method which produces confidence intervals that are often narrower than those obtained by the traditional procedures. The proposed methods use both a weighted least squares approach to reduce the length of the confidence interval and a permutation technique to insure that its coverage probability is near the nominal level. The author reports simulations comparing the adaptive intervals to the traditional ones for the difference between two population means, for the slope in a simple linear regression, and for the slope in a multiple linear regression having two correlated exogenous variables. He is led to recommend adaptive intervals for sample sizes superior to 40 when the error distribution is not known to be Gaussian.  相似文献   
218.
A cornerstone of game theory is backward induction, whereby players reason backward from the end of a game in extensive form to the beginning in order to determine what choices are rational at each stage of play. Truels, or three-person duels, are used to illustrate how the outcome can depend on (1) the evenness/oddness of the number of rounds (the parity problem) and (2) uncertainty about the endpoint of the game (the uncertainty problem). Since there is no known endpoint in the latter case, an extension of the idea of backward induction is used to determine the possible outcomes. The parity problem highlights the lack of robustness of backward induction, but it poses no conflict between foundational principles. On the other hand, two conflicting views of the future underlie the uncertainty problem, depending on whether the number of rounds is bounded (the players invariably shoot from the start) or unbounded (they may all cooperate and never shoot, despite the fact that the truel will end with certainty and therefore be effectively bounded). Some real-life examples, in which destructive behavior sometimes occurred and sometimes did not, are used to illustrate these differences, and some ethical implications of the analysis are discussed.  相似文献   
219.
van der Vaart (1953, 1955) introduced the orthoscheme probability Rn (c 1,..., cn−1 ), meaning the orthant probability of an n -dimensional normal random vector with zero mean and tridiagonal correlation matrix with elements c 1,..., cn−1 on the upper diagonal. Childs (1967) conjectured and Moran (1983) proved that the generating function of { Rn (½,...,½)} equals tan z + sin z . This paper derives the generating function of { Rn (τ,½,...,½)}.  相似文献   
220.
本文主要是在二项分布,多项分布,负二项分布的基础上,把负二项分布进一步推广,给出负N项分布的定义,推导出它的概率分布,并计算出其数学期望和方差.  相似文献   
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