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191.
This paper finds the mathematical forms of the distribution of the product where x and x follow a bivariate normal distribution In this paper the distribution when PT0 is expressed as an integral, a new, fundamental result. From this general form, six different cases can be distinguished depending on what is known about the parameters and p. The special cases are Aroian $year:1959 and (6) Additionally, we prove that if and as the distribution of the product approaches the Type III distribution. When p=0# Aroian $year:1959 and Aroian and Meeker $year:1977, give tables for various values of 6., 6 . The results in this paper will be used to provide brief tables for p^O in a separate paper 相似文献
192.
A generalization of Mosteller's test for slippage of the location parameter is proposed. The distribution of the test statistic under the null hypothesis is obtained and the power of the test is compared with that of Mosteller's test 相似文献
193.
194.
Jerzy Neyman 《统计学通讯:理论与方法》2013,42(9):965-992
As stated by the Editors of the Special Issue. It was complied with reference to two of my statements; that much of the current weather modification literature is slanted and unreliable. and(2) that progress in the building of a reliable weather modification technology requires an interdisciplinary study of as many completed cloud seeding experiments as possible. The material published in the Special Issue relates to two completed experiments, the Tasmania and the Israeli experiments. It is shown that a realistic appraisal of a completed experiment requires a prolonged effort, including an examination of quite a few relevant publications and, on occasion, Some numerical work on published raw data. It appears that an interdisciplinary reanalysis of the Tasmania experiment can contribute to the development of a reliable cloud seeding technology. 相似文献
195.
Let X1,X2,…,Xp be p random variables with cdf's F1(x),F2(x),…,Fp(x)respectively. Let U = min(X1,X2,…,Xp) and V = max(X1,X2,…,Xp).In this paper we study the problem of uniquely determining and estimating the marginal distributions F1,F2,…,Fp given the distribution of U or of V. First the problem of competing and complementary risks are introduced with examples and the corresponding identification problems are considered when the X1's are independently distributed and U(V) is identified, as well as the case when U(V) is not identified. The case when the X1's are dependent is considered next. Finally the problem of estimation is considered. 相似文献
196.
Poduri S.R.S. Rao 《统计学通讯:理论与方法》2013,42(15):1659-1669
The MINQUE and its modifications are considered for estimating the variances of the balanced one-way random effects model. The effects of the a priori values on the estimators of the variances are examined in detail. The Mean Square Errors of the estimators are compared for variations in the prior values of the unknown variances. 相似文献
197.
Continuing the studies of Johnson et al (1980) and Johnson and Kotz (1981), further distributions arising from models of errors in inspection and grading of samples from finite, possibly stratified lots are obtained. Screening, and hierarchal screening forms of inspection are also considered, and the effects of errors on the advantages of these techniques assessed. 相似文献
198.
C. Ming Wang 《统计学通讯:理论与方法》2013,42(14):1647-1659
The relationship between the mixed-model analysis and multivariate approach to a repeated measures design with multiple responses is presented. It is shown that by taking the trace of the appropriate submatrix of the hypothesis (error) sums of squares and crossproducts (SSCP) matrix obtained from the multivariate approach, one can get the hypothesis (error) SSCP matrix for the mixed-model analysis. Thus, when analyzing data from a multivariate repeated measures design, it is advantageous to use the multivariate approach because the result of the mixed-model analysis can also be obtained without additional computation. 相似文献
199.
200.
We consider a semi-Markov compartroental system with branching particles, Me study the total sojourn time of all the particles and obtain the asymptotic behaviour of its mean. We also discuss some special systems. 相似文献