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891.
892.
诸多教育问题的产生源于两个主要问题:其一是学校教育的功能有限性;其二是教育主体之间的教育价值冲突。因而,我们需要重新定位学校教育的有限功能,并寻求教育主体之间能够达成共识的教育价值观。本文认为,建立在公共利益基础上的教育价值共识是解决教育问题的思想基础;以这种教育价值共识为基础,借助于信息技术支持的交流、交往、传播功能,建设多主体、多渠道、多层次的对话平台,以相互支持为准则的教育共同体是解决教育问题的实践路径。  相似文献   
893.
In this paper, inference for the scale parameter of lifetime distribution of a k-unit parallel system is provided. Lifetime distribution of each unit of the system is assumed to be a member of a scale family of distributions. Maximum likelihood estimator (MLE) and confidence intervals for the scale parameter based on progressively Type-II censored sample are obtained. A β-expectation tolerance interval for the lifetime of the system is obtained. As a member of the scale family, half-logistic distribution is considered and the performance of the MLE, confidence intervals and tolerance intervals are studied using simulation.  相似文献   
894.
The asymptotic normality of the Cramer-von Mises one-sample test statistic and one of its variants under an alternative cdf is demonstrated. The derivation herein is unique in that it does not require knowledge of the theory of weak convergence of probability measures defined on metrized function spaces, and thus is accessible to a broader class of students and practitioners.  相似文献   
895.
基于虐童现象的普遍性以及后果的严重性,虐童行为的规制成为必要,但方式应该是通过立法,而非司法。对于实践中以司法方式实现虐童入罪的做法,应当摒弃,并肃清其背后的理念、逻辑。虐童入罪固然必要,但是问题的解决更应该走向刑法之外,通过儿童保护及福利体系的建立,从根本上减少虐童现象的发生。  相似文献   
896.
We consider a new class of scale estimators with 50% breakdown point. The estimators are defined as order statistics of certain subranges. They all have a finite-sample breakdown point of [n/2]/n, which is the best possible value. (Here, [...] denotes the integer part.) One estimator in this class has the same influence function as the median absolute deviation and the least median of squares (LMS) scale estimator (i.e., the length of the shortest half), but its finite-sample efficiency is higher. If we consider the standard deviation of a subsample instead of its range, we obtain a different class of 50% breakdown estimators. This class contains the least trimmed squares (LTS) scale estimator. Simulation shows that the LTS scale estimator is nearly unbiased, so it does not need a small-sample correction factor. Surprisingly, the efficiency of the LTS scale estimator is less than that of the LMS scale estimator.  相似文献   
897.
In addition to his contributions to biostatistics and clinical trials, Paul Meier had a long-term interest in the legal applications of statistics. As part of this, he had extensive experience as a statistical consultant. Legal consulting can be a minefield, but as a result of his background, Paul had excellent advice to give to those starting out on how to function successfully in this environment.  相似文献   
898.
The boxplot is an effective data-visualization tool useful in diverse applications and disciplines. Although more sophisticated graphical methods exist, the boxplot remains relevant due to its simplicity, interpretability, and usefulness, even in the age of big data. This article highlights the origins and developments of the boxplot that is now widely viewed as an industry standard as well as its inherent limitations when dealing with data from skewed distributions, particularly when detecting outliers. The proposed Ratio-Skewed boxplot is shown to be practical and suitable for outlier labeling across several parametric distributions.  相似文献   
899.
Although the noncentral hypergeometric distribution underlies conditional inference for 2 × 2 tables, major statistical packages lack support for this distribution. This article introduces fast and stable algorithms for computing the noncentral hypergeometric distribution and for sampling from it. The algorithms avoid the expensive and explosive combinatorial numbers by using a recursive relation. The algorithms also take advantage of the sharp concentration of the distribution around its mode to save computing time. A modified inverse method substantially reduces the number of searches in generating a random deviate. The algorithms are implemented in a Java class, Hypergeometric, available on the World Wide Web.  相似文献   
900.
In this paper, we introduce the p-generalized polar methods for the simulation of the p-generalized Gaussian distribution. On the basis of geometric measure representations, the well-known Box–Muller method and the Marsaglia–Bray rejecting polar method for the simulation of the Gaussian distribution are generalized to simulate the p-generalized Gaussian distribution, which fits much more flexibly to data than the Gaussian distribution and has already been applied in various fields of modern sciences. To prove the correctness of the p-generalized polar methods, we give stochastic representations, and to demonstrate their adequacy, we perform a comparison of six simulation techniques w.r.t. the goodness of fit and the complexity. The competing methods include adapted general methods and another special method. Furthermore, we prove stochastic representations for all the adapted methods.  相似文献   
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