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101.
Consider the linear regression model Y = Xθ+ ε where Y denotes a vector of n observations on the dependent variable, X is a known matrix, θ is a vector of parameters to be estimated and e is a random vector of uncorrelated errors. If X'X is nearly singular, that is if the smallest characteristic root of X'X s small then a small perurbation in the elements of X, such as due to measurement errors, induces considerable variation in the least squares estimate of θ. In this paper we examine for the asymptotic case when n is large the effect of perturbation with regard to the bias and mean squared error of the estimate.  相似文献   
102.
In the present paper, we introduce and study a class of distributions that has the linear mean residual quantile function. Various distributional properties and reliability characteristics of the class are studied. Some characterizations of the class of distributions are presented. We then present generalizations of this class of distributions using the relationship between various quantile based reliability measures. The method of L-moments is employed to estimate parameters of the class of distributions. Finally, we apply the proposed class of distributions to a real data set.  相似文献   
103.
每个人本来具有的恻隐、羞恶、恭敬、是非之心是内圣之道的入手处,而此四心所本即为至善之心.体悟至善之心要从修心、知言、养气上下手,内圣之道由浅而深的六个次第是:善、信、美、大、圣、神.  相似文献   
104.
近代西方"内容出自形式"神话的构建历史,可从康德"绝对命令"开始,直到罗尔斯的"社会契约"论和哈贝马斯的"对话伦理学"。哈氏"对话伦理学"的纯粹形式倾向,体现在"交往的不可避免性,论证性原则,最后根据的问题"等三项基本要义之中。"形式不可能产生内容",因而对哈氏神话必须进行反思和批判,基于经验、内容及人的法权,尝试构建实体论证的程序正义论。  相似文献   
105.
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   
106.
107.
E. Spjotvoll 《Statistics》2013,47(1):69-93
A review is given of random regression coefficients models. The emphasis is put on the problem of estimating the mean regression coefficients and the covariance matrix of the coefficients. Prediction of the individual random coefficients is not discussed. The main purpose of the review is to point to the practical aspects of the models and the problem of statistical inference in finite samples. Some problems for future research are indicated.  相似文献   
108.
Parametric confidence intervals are given for linear combinations of the means of independent Poisson variables and for their continuous versions. The performance of the intervals is assessed using simulation. A real data set is used to compare the proposed intervals with known ones. The proposed intervals are shown to be superior to known ones and comparable to exact intervals.  相似文献   
109.
The most common charting procedure used for monitoring the variance of the distribution of a quality characteristic is the S control chart. As a Shewhart-type control chart, it is relatively insensitive in the quick detection of small and moderate shifts in process variance. The performance of the S chart can be improved by supplementing it with runs rules or by varying the sample size and the sampling interval. In this work, we introduce and study one-sided adaptive S control charts, supplemented or not with one powerful runs rule, for detecting increases or decreases in process variation. The properties of the proposed control schemes are obtained by using a Markov chain approach. Furthermore, a practical guidance for the choice of the most suitable control scheme is also provided.  相似文献   
110.
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   
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