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91.
The goal of uniform mixture design is to scatter the design points in the experimental region uniformly. The commonly used criteria, such as mean square distance, are based on the Euclidean distance. Based on the Lee distance, a new criterion is proposed in this article. And an algorithm, called NTLBG, is also proposed to refine the randomly generated design for the experimental design with mixtures. Some examples show that the design generated by the NTLBG algorithm has a lower criteria value.  相似文献   
92.
Abstract

Mixture experiments have attracted increasingly attention due to their great practical value in production and living, while uniform designs over irregular experimental regions have become a hot topic in the area of experimental designs in the past two decades. Noting that the experimental region of a mixture experiment with q components under some constraints is in fact a (q ? 1)-dimensional geometry, this article proposes a new method for searching nearly uniform designs for mixture experiments with any complex constraints. Two examples with some tables and figures are given to illustrate this method.  相似文献   
93.
ABSTRACT

Discrepancies are measures which are defined as the deviation between the empirical and the theoretical uniform distribution. In this way, discrepancy is a measure of uniformity which provides a way of construction a special kind of space filling designs, namely uniform designs. Several discrepancies have been proposed in recent literature. A brief, selective review of these measures including some construction algorithms are given in this paper. Furthermore, a critical discussion along with some comparisons is provided, as well.  相似文献   
94.
95.
Fractional moments, product cumulants and product moments of general quadratic expressions in singular and nonsingular normal variables are explicitly evaluated. A general method of deriving such moments is also indicated. Particular cases art; shown to agree with known results.  相似文献   
96.
97.
As of late, copulas have drawn great attention in stochastic simulation, financial engineering, and risk management. Their power lies under their ability of modeling dependent random variables. Using a known theorem in probability which proves that the fractional part of the sum of a uniform and an arbitrary independent continuous random variable follows a uniform distribution, we construct a wide class of bivariate copulas in which bivariate random vector generation can be performed easily. Some important members of this new class and their properties together with two invariant correlation measures and some insights in their application are presented.  相似文献   
98.
A number of models have been proposed in the literature to model data reflecting bathtub-shaped hazard rate functions. Mixture distributions provide the obvious choice for modelling such data sets but these contain too many parameters and hamper the accuracy of the inferential procedures particularly when the data are meagre. Recently, a few distributions have been proposed which are simply generalizations of the two-parameter Weibull model and are capable of producing bathtub behaviour of the hazard rate function. The Weibull extension and the modified Weibull models are two such families. This study focuses on comparing these two distributions for data sets exhibiting bathtub shape of the hazard rate. Bayesian tools are preferred due to their wide range of applicability in various nested and non-nested model comparison problems. Real data illustrations are provided so that a particular model can be recommended based on various tools of model comparison discussed in the paper.  相似文献   
99.
The foldover is a useful technique in the construction of two-level factorial designs for follow-up experiments. To search an optimal foldover plans is an important issue. In this paper, for a set of asymmetric fractional factorials such as the original designs, a lower bound for centred L 2-discrepancy of combined designs under a general foldover plan is obtained, which can be used as a benchmark for searching optimal foldover plans. All of our results are the extended ones of Ou et al. [Lower bounds of various discrepancies on combined designs, Metrika 74 (2011), pp. 109–119] for symmetric designs to asymmetric designs. Moreover, it also provides a theoretical justification for optimal foldover plans in terms of uniformity criterion.  相似文献   
100.
A survey on health insurance was conducted in July and August of 2011 in three major cities in China. In this study, we analyze the household coverage rate, which is an important index of the quality of health insurance. The coverage rate is restricted to the unit interval [0, 1], and it may differ from other rate data in that the “two corners” are nonzero. That is, there are nonzero probabilities of zero and full coverage. Such data may also be encountered in economics, finance, medicine, and many other areas. The existing approaches may not be able to properly accommodate such data. In this study, we develop a three-part model that properly describes fractional response variables with non-ignorable zeros and ones. We investigate estimation and inference under two proportional constraints on the regression parameters. Such constraints may lead to more lucid interpretations and fewer unknown parameters and hence more accurate estimation. A simulation study is conducted to compare the performance of constrained and unconstrained models and show that estimation under constraint can be more efficient. The analysis of household health insurance coverage data suggests that household size, income, expense, and presence of chronic disease are associated with insurance coverage.  相似文献   
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