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81.
A class of linear rank tests is suggested for testing a shift in scale at an unknown time point in a sequence of independent observations. The tests,based on inverse normal scores and on ordered exponential scores,are shown to be asymptotically as efficient as their distribution-oriented competitors. Critical values and powers for these two rank tests are also discussed.  相似文献   
82.
The authors establish the joint distribution of the sum X and the maximum Y of IID exponential random variables. They derive exact formuli describing the random vector (X, Y), including its joint PDF, CDF, and other characteristics; marginal and conditional distributions; moments and related parameters; and stochastic representations leading to further properties of infinite divisibility and self-decomposability. The authors also discuss parameter estimation and include an example from climatology that illustrates the modeling potential of this new bivariate model.  相似文献   
83.
Given a life testing experiment consisting of n items, n-1 of which have the expected life λ while one could have an expected life λ/α with 0 < α < 1 the problem is. to find a mean square error (MSE) minimizing estimation function. The standard estimators for the homogeneous case (α = 1) overestimate the expected life and their MSE tend to infinity when a tends to 0.

Looking at the estimation problem as an insurance (see Anscombe (1960)) two different “testimators” are compared with respect to their MSE, Numerical results show that an estimation function based on the “Epstein-statistic” x(n)/[xbar] is the best one.  相似文献   
84.
The exact distribution of a linear combination of n independent negative exponential random variables, when the coefficients of the linear combination are distinct and positive quantities, is well-known. This paper extends the above result to the general case, namely when the coefficients are arbitrary real numbers, positive or negative, distinct or coincident.  相似文献   
85.
In this paper we assess the sensitivity of the multivariate extreme deviate test for a single multivariate outlier to non-normality in the form of heavy tails. We find that the empirical significance levels can be markedly affected by even modest departures from multivariate normality. The effects are particularly severe when the sample size is large relative to the dimension. Finally, by way of example we demonstrate that certain graphical techniques may prove useful in identifying the source of rejection for the multivariate extreme deviate test.  相似文献   
86.
87.
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   
88.
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   
89.
Fisher information contained in record values, inter-record times and their concomitants from a sample of fixed size is derived in general and explicit expressions are deduced for some specific known bivariate classes of distributions. A comparison between fixed sampling and inverse sampling schemes with equal number of records and concomitants is also carried out. We also consider parameter estimation based on bivariate records and a small simulation study is done.  相似文献   
90.
The mathematical problems of the – in an communication [3] described – principle for the calculation of individual thermodynamic activity coefficients of single ionic species in concentrated electrolyte solutions are specified. It is the Newtonian approximation method that makes possible the evaluation of the constants b 1,…b 4 in the concentration function (0.1) for the product of the activity coefficients.

The efficiency of the method is represented by the example of the activity coefficients of pure and of – with other electrolytes – mixed solutions of NaCIO4. The individual activity coefficients of the single ionic species are evaluated for several electrolytes of the concentration range from m = 0 to m = 10 mole/kg and published at another place [3, 17, 18].  相似文献   
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