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We present theoretical results for large-file distribution on general networks of known topology (known link bandwidths and router locations). We show that the problem of distributing a file in minimum time is NP-hard in this model, and we give an O(logn) approximation algorithm, where n is the number of workstations that require the file. We also characterize our method as optimal amongst the class of “no-link-sharing” algorithms.  相似文献   
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Parallel individual and ecological analyses of data on residential radon have been performed using information on cases of lung cancer and population controls from a recent study in south-west England. For the individual analysis the overall results indicated that the relative risk of lung cancer at 100 Bq m−3 compared with at 0 Bq m−3 was 1.12 (95% confidence interval (0.99, 1.27)) after adjusting for age, sex, smoking, county of residence and social class. In the ecological analysis substantial bias in the estimated effect of radon was present for one of the two counties involved unless an additional variable, urban–rural status, was included in the model, although this variable was not an important confounder in the individual level analysis. Most of the methods that have been recommended for overcoming the limitations of ecological studies would not in practice have proved useful in identifying this variable as an appreciable source of bias.  相似文献   
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Scientific experiments commonly result in clustered discrete and continuous data. Existing methods for analyzing such data include the use of quasi-likelihood procedures and generalized estimating equations to estimate marginal mean response parameters. In applications to areas such as developmental toxicity studies, where discrete and continuous measurements are recorded on each fetus, or clinical ophthalmologic trials, where different types of observations are made on each eye, the assumption that data within cluster are exchangeable is often very reasonable. We use this assumption to formulate fully parametric regression models for clusters of bivariate data with binary and continuous components. The regression models proposed have marginal interpretations and reproducible model structures. Tractable expressions for likelihood equations are derived and iterative schemes are given for computing efficient estimates (MLEs) of the marginal mean, correlations, variances and higher moments. We demonstrate the use the ‘exchangeable’ procedure with an application to a developmental toxicity study involving fetal weight and malformation data.  相似文献   
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In this paper, a new power transformation estimator of population mean in the presence of non-response has been suggested. The estimator of mean obtained from proposed technique remains better than the estimators obtained from ratio or mean methods of imputation. The mean squared error of the resultant estimator is less than that of the estimator obtained on the basis of ratio method of imputation for the optinum choice of parameters. An estimator for estimating a parameter involved in the process of new method of imputation has been discussed. The MSE expressions for the proposed estimators have been derived analytically and compared empirically. Product method of imputation for negatively correlated variables has also been introduced. The work has been extended to the case of multi-auxiliary information to be used for imputation.  相似文献   
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The decision of a firm to set up a plant network is influenced by a number of factors, including demand fluctuations across its portfolio of products, logistics costs, and service level requirements. Product plant networks offer the benefits of consolidated production and reduced transshipment costs; on the other hand, process plant networks allow intensive dedication to process expertise and economies of scale. In this paper, we show that, aside from these benefits, process plant networks offer significant risk pooling advantages under a wide range of conditions. We analytically demonstrate that, even without accounting for economies of scale advantages, firms may prefer the process plant network configuration due to the risk pooling benefits offered.  相似文献   
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This paper proposes a model to explain what makes organizations ethically vulnerable. Drawing upon legitimacy, institutional, agency and individual moral reasoning theories we consider three sets of explanatory factors and examine their association with organizational ethical vulnerability. The three sets comprise external institutional context, internal corporate governance mechanisms and organizational ethical infrastructure. We combine these three sets of factors and develop an analytical framework for classifying ethical issues and propose a new model of organizational ethical vulnerability. We test our model on a sample of 253 firms that were involved in ethical misconduct and compare them with a matched sample of the same number of firms from 28 different countries. The results suggest that weak regulatory environment and internal corporate governance, combined with profitability warnings or losses in the preceding year, increase organizational ethical vulnerability. We find counterintuitive evidence suggesting that firms’ involvement in bribery and corruption prevention training programmes is positively associated with the likelihood of ethical vulnerability. By synthesizing insights about individual and corporate behaviour from multiple theories, this study extends existing analytical literature on business ethics. Our findings have implications for firms’ external regulatory settings, corporate governance mechanisms and organizational ethical infrastructure.  相似文献   
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Hotelling's T 2 test is known to be optimal under multivariate normality and is reasonably validity-robust when the assumption fails. However, some recently introduced robust test procedures have superior power properties and reasonable type I error control with non-normal populations. These, including the tests due to Tiku & Singh (1982), Tiku & Balakrishnan (1988) and Mudholkar & Srivastava (1999b, c), are asymptotically valid but are useful with moderate size samples only if the population dimension is small. A class of B-optimal modifications of the stepwise alternatives to Hotellings T 2 introduced by Mudholkar & Subbaiah (1980) are simple to implement and essentially equivalent to the T 2 test even with small samples. In this paper we construct and study the robust versions of these modified stepwise tests using trimmed means instead of sample means. We use the robust one- and two-sample trimmed- t procedures as in Mudholkar et al. (1991) and propose statistics based on combining them. The results of an extensive Monte Carlo experiment show that the robust alternatives provide excellent type I error control and a substantial gain in power.  相似文献   
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