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991.
It is assumed that the logs of the time to failure in a life test follow a normal distribution. If the test is terminated after r of a sample of n items fail, the test is said to be censored. If the sample size is small and censoring severe, the usual maximum likelihood estimator of a is downwardly biased. Monte Carlo techniques and regression analysis were used to develop an empirical correction factor. Applying the correction factor to the maximum likelihood estimator yields an unbiased estimate of σ.  相似文献   
992.
We consider some estimation and distribution problems encountered in a two way analysis of variance model with only one observation per cell, errors correlated in one level, and the variances are not necessarily equal. The independence criteria for the row and interaction mean sum of squares and distribution of the maximum likelihood estimator of the correlation coefficient are given.  相似文献   
993.
Seven estimators for the probabilities of misclassifi-cation associated with the linear discriminant function are considered. Four of them are known in the literature. The remaining three are constructed through the Jackknife Pro-cedure. An empirical investigation is conducted to evalu-ate the relative merits of these estimators. Summary of the results is presented.  相似文献   
994.
Asieh Abtahi 《Statistics》2013,47(1):126-140
There are so many proposals in construction skewed distributions, and it is worth finding an overall class which covers all of these proposals. We introduce a new unified representation of multivariate skewed distributions. We will show that this new unified multivariate form of skewed distributions includes all of the continuous multivariate skewed distributions in the literature. This new unified representation is based on the multivariate probability integral transformation and can be decomposed into one factor that is original multivariate symmetric probability density function (pdf) f on ? k and skewed factor defined by a pdf p on [0, 1] k . This decomposition leads us to prove some useful properties of this new unified form. Stochastic representations and basic properties of this new form are also investigated in this article. Our work is motivated by considering the different skewing mechanisms which lead to different skewed distributions and show that all of these common-used distributions can be viewed as a new unified form.  相似文献   
995.
Let X1,X2,…,Xn be n normal variates with zero means, unit variances and correlation matrix {pij). The orthant probability is the probability that all of the X1's are simultaneously positive. This paper presents a general reduction method by extending the method of Childs (1967), and shows that the probability can be represented by a linear combination of some multivariate integrals of order([n/2]?1). As illustrations, we apply the proposed method to the quadrivariate and six–variate cases. Some numerical results are also given.  相似文献   
996.
Clustering is a common and important issue, and finite mixture models based on the normal distribution are frequently used to address the problem. In this article, we consider a classification model and build a mixture model around it. A good assessment of the allocation of observations and number of clusters is easily obtained from this approach.  相似文献   
997.
The authors derive the asymptotic mean and bias of Kendall's tau and Spearman's rho in the presence of left censoring in the bivariate Gaussian copula model. They show that tie corrections for left‐censoring brings the value of these coefficients closer to zero. They also present a bias reduction method and illustrate it through two applications.  相似文献   
998.
Abstract

In this article it is proved that the stationary Markov sequences generated by minification models are ergodic and uniformly mixing. These results are used to establish the optimal properties of estimators for the parameters in the model. The problem of estimating the parameters in the exponential minification model is discussed in detail.  相似文献   
999.
Families of multivariate geometric distributions with flexible correlations can be constructed by applying inverse sampling to a sequence of multinomial trials, and counting outcomes in possibly overlapping categories. Further multivariate families can be obtained by considering other stopping rules, with the possibility of different stopping roles for different counts, A simple characterisation is given for stopping rules which produce joint distributions with marginals having the same form as that of the number of trials. The inverse sampling approach provides a unified treatment of diverse results presented by earlier authors, including Goldberg (1934), Bates and Meyman (1952), Edwards and Gurland (1961), Hawkes (1972), Paulson and Uppulori (1972) and Griffiths and Milne (1987). It also provides a basis for investigating the range of possible correlations for a given set of marginal parameters. In the case of more than two joint geometric or negative binomial variables, a convenient matrix formulation is provided.  相似文献   
1000.
当前,部分免费师范生在思想观念心态上存在一些问题:报考动机多元化;对政策理解片面化;职业理想功利化;学习态度消极化;心理负担沉重化。笔者以八荣八耻为契机,通过加强职业理想教育,加大政策宣传力度,加强心理健康教育,同时引导学生深入学习和践行社会主义荣辱观,从而树立热爱祖国和服务人民的信念,树立诚实守信和遵纪守法的意识,形成艰苦奋斗和团结向上的精神,达到引领免费师范生健康成长的目标。  相似文献   
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