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111.
Since the introduction and definition of relationship algebras by James (1957), rolatively little use has been made of this theory in experimental design and analysis problems This may be due to the underlying theory of relationship algebras being previously accessible only in books on mathematical structure theory, e.g. van der Waerden (1950) This paper provides a development of the theory of relationship algebras beginning at an elementray level and including only those parts of mathematical structure theory which are essential to this development. An example of its application in derving an analysis due to alling (1967) is presented.  相似文献   
112.
This paper developed an exact method of random permutations when testing both interaction and main effects in the two-way ANOVA model. The method of this paper can be regarded as a much improved model when compared with those of the previous studies such as Still and White (1981) and ter Braak (1992). We further conducted a simulation experiment in order to check the statistical performance of the proposed method. The proposed method works relatively well for small sample sizes compare with the existing methods. This work was supported by Korea Science and Engineering Foundation Grant (R14-2003-002-0100)  相似文献   
113.
将双时间步法应用于叶栅级的全三维黏性非定常数值求解,讨论了分区算法中内边界条件的给定问题,本算法可保证分区边界上具有与内点相同的精度,具有很好的数值稳定性,且通量基本守恒,将该方法应用于具有弯曲导叶的涡轮级的计算可得到典型的非定常流谱,揭示了动静叶之间的相互干涉对叶片气动性能的影响,数值计算结果表明本文给出的算法是合理有效的。  相似文献   
114.
ABSTRACT. The problem of estimating the mean of a multivariate normal distribution when the parameter space allows an orthogonal decomposition is discussed. Risk functions and lower bounds for a class of shrinkage estimators that includes Stein's estimator are derived, and an improvement on Stein's estimator that takes advantage of the orthogonal decomposition is introduced. Uniform asymptotics related to Pinsker's minimax risk is derived and we give conditions for attaining the lower risk bound. Special cases including regression and analysis of variance are discussed.  相似文献   
115.
This paper studies the implementation of the coupling from the past (CFTP) method of Propp and Wilson (1996) in the set-up of two and three component mixtures with known components and unknown weights. We show that monotonicity structures can be exhibited in both cases, but that CFTP can still be costly for three component mixtures. We conclude with a simulation experiment exhibiting an almost perfect sampling scheme where we only consider a subset of the exhaustive set of starting values.  相似文献   
116.
从分析Adhoc网络的信息流竞争特点出发,引入了链路干扰集的概念,构建了一个基于链路干扰集的价格框架。在此框架中,某链路的拥塞信息被表示为此链路干扰集的总价格。并提出了相应的分布式平行算法-价格协同法PCA来求解在小时间段内网络状态不变的拥塞控制问题。同时,分析了PCA对网络状态变化的自适应性能。仿真结果表明,PCA能快速收敛到全局优化解,对网络状态的变化有较好的自适应能力,所获得的网络性能比TCP-Reno要优越得多。  相似文献   
117.
The usual F-test of the analysis of variance is reconsidered within the Bayesian framework, In terms of predictive distributions, This leads to the notion of semi-Bayesian significance test, so called because it consists in only probabilizing the space of nuisance parameters, thus bringing a general principle for “eliminating” nuisance parameters, or more exactly incorporating information about these parameters. The approach is shown to extend the F-tests, by allowing the testing of hypotheses of non-zero effects.  相似文献   
118.
Chow and Shao (1989, 1991) indicated that the presence of batch-to-batch variation has an impact on the determination of drug shelf-life in stability studies. In this paper, we propose two unbiased estmators for batch-to-batch variation. The proposed estimators are compared in terms of their corresponding variances. An example concerning a stability study is discussed to illustrate the use of the proposed estimators.  相似文献   
119.
We study the effects of the inclusion of pairs of correlated observations in a sample on likelihood ratio tests for the difference in two means. In particular, we assess how the inclusion of correlated data pairs (e.g., such as data inadvertently collected from sib-pairs) affects the sample size requirements necessary for the implementation of a Likelihood Ratio (LR) test for the difference between two means. Our results suggest that correlated data pairs beneficially or adversely effect sample size requirements for an LR test to a degree functionally related to the mixture parameters dictating their relative frequencies in the larger sample on which the test will be performed, the strength of the correlation between the observations, and the size of imbalances in the sample with respect to the number of observations in each group. The relevance and implications of the results for genetic and epidemiologic research are discussed.  相似文献   
120.
When we want to compare two designs we usually assume the standard linear model with uncorrelated observations. In this paper we use the comparison method proposed by Ghosh & Shen (2006) to compare three level orthogonal arrays with 18, 27 and 36 runs under a possible presence of correlation in observations.  相似文献   
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