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1.
In this part of the series, the notion of average total inspection (ATI) is introduced to ChSP-4A(c1, c2)r plans, minimizing ATI at a given process average, while protection to the consumer is given in terms of average outgoing quality limit and limiting quality level. The procedure is similar to that of Dodge and Roming. 相似文献
2.
In this paper, the notion of average total inspection (ATI) is introduced to ChSP-4(c1,c2) sampling plans. Procedures have been developed for the construction and selection of ChSP-4(c1, c2 plans, minimizing ATI at a given process average, while protection to the consumer is given in terms of the (i) average outgoing quality limit and (ii) limiting quality level.A wide range of c1 and c2 values are considered for developing tables which cover almost all practical situations. The procedure described is similar to that of Dodge and Romig. 相似文献
3.
This paper presents an improved efficiency measurement tool by modifying the existing data envelopment analysis methodology to permit the incorporation of expert knowledge. A previous paper examined the inclusion of such knowledge within the additive model. This information appeared in the form of a binary classification of a subset of the decision making units under study (e.g. good versus poor performers). In the current paper, we extend this logic to the input-oriented radial projection model. We demonstrate that the inclusion of this and other forms of expert judgment can improve the performance of the DEA tool in the sense that the efficiency scores are more in line with expert/management beliefs. 相似文献
4.
Performance measurement with classification information: an enhanced additive DEA model 总被引:1,自引:0,他引:1
This paper presents an improved measurement tool for evaluating performance of branches within a major Canadian bank. While there have been numerous previous studies of performance in the banking industry, particularly at the branch level, this study is different in a very significant way: specifically two kinds of data are used to develop the model. The first type of data is that related to standard transactions, available from any bank; such have formed the basis of numerous previous studies. The second type of data, obtained from the site studied, is classification information, based on branch consultant/expert judgment as to good and poor performance of branches. The purpose herein is to present a modified version of an existing benchmarking model, data envelopment analysis (DEA), and to show how this tool is applied in the banking industry. The mechanism used herein to incorporate expert knowledge within the DEA framework is to first apply a discriminant or classification tool, to quantify the functional relation that best captures the expert's mental model for performance. The outcome of this first phase is an orientation of variables to aid in the definition of inputs and outputs. The resulting orientation then defines the DEA model that makes up the second phase of the model. 相似文献
5.
Raju Kumar 《统计学通讯:理论与方法》2017,46(21):10426-10445
Identification of outlier vectors in block designs for incomplete multiresponse experiments has been considered. Design is composed of two sets of experimental units. Different numbers of response variables are observed from these two sets. Cook-statistic has been developed for identification of outliers. The developed statistic has been illustrated with a real-life data set. It has been shown that presence of outliers can distort the overall conclusion from an experiment. 相似文献
6.
This article outlines the structure of a generalized family of two-stage chain sampling plans, extending the concept of two-stage chain sampling plans of Dodge and Stephens (1966) which is an extension of the original work of Dodge (1955). Expressions are derived for the OC curves for two-stage chain sampling plans with (c1,c2) = (0,2) and (1,2). In the original work of Dodge (1955) only acceptance numbers of 0,1 were used and in the extension work of Dodge and Stephens (1966) acceptance numbers of (c1,c2) = (0,1), (0,2), (1,2), (0,3), (1,3), (0,4) and (1,4) were used with selected sets of values of k1 and k2 (the number of lots considered for cumulation in the first and second stage respectively). In this paper the OC curves are derived more generally for any k1 and k2combination for two-stage chain sampling plans with (c1,c2) = (0,2) and (1,2) and comparisons are made with respect to sample sizes and discriminating power, with the corresponding single and double sampling plans. 相似文献
7.
Clark J. Hudak Jr. M.S.W. Raju Varghese Ed.D. Robert M. Politzer M.S. Sc.D. 《Journal of gambling studies / co-sponsored by the National Council on Problem Gambling and Institute for the Study of Gambling and Commercial Gaming》1989,5(3):201-210
This paper describes the efforts of a private gambling treatment program to conduct a retrospective study of pathological gamblers treated in a publicly supported residential program. The Johns Hopkins Center for Pathological Gambling treated approximately 100 pathological gamblers nationwide from 1979 to 1983 in its residential component. Twenty-six gamblers were assessed regarding their recovery status with specific focus on family, marital status and occupational satisfaction. It was hypothesized that the more satisfied patients would display lower frequencies of gambling and that gambling frequency was dependent upon the level of satisfaction. Thirty-one percent of these gamblers reported abstinence. Regression analyses indicated that the recovery of pathological gamblers as measured by frequency of gambling is significantly influenced by job satisfaction, and moderately influenced by marital status and family life satisfaction. Consequently, these factors should be addressed by mental health professionals in research and treatment of pathological gambling. 相似文献
8.
C. Raju 《Journal of applied statistics》1992,19(1):125-140
In this paper an approach for designing chain sampling plans ChSP-4A(c1,c2)r indexed by acceptable quality level and limiting quality level under the conditions of binomial model and a procedure of designing plans for fixed sample sizes minimizing the sum of weighted risks are described. 相似文献
9.
In the present paper we have proposed a Bayesian approach for making inferences from accelerated life tests which do not require distributional assumptions 相似文献
10.
In this paper, we consider the Bayesian analysis of binary time series with different priors, namely normal, Students' t, and Jeffreys prior, and compare the results with the frequentist methods through some simulation experiments and one real data on daily rainfall in inches at Mount Washington, NH. Among Bayesian methods, our results show that the Jeffreys prior perform better in most of the situations for both the simulation and the rainfall data. Furthermore, among weakly informative priors considered, Student's t prior with 7 degrees of freedom fits the data most adequately. 相似文献