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Double robust estimators have double the chance of being a consistent estimator of a causal effect in binary treatments cases. In this paper, we proposed an estimator of a causal effect for general treatment regimes based on covariate-balancing. Under parametrical situation, our estimator has double robustness.  相似文献   
2.
We develop and evaluate a modeling approach for making periodic review production and distribution decisions for a supply chain in the processed food industry. The supply chain faces several factors, including multiple products, multiple warehouses, production constraints, high transportation costs, and limited storage at the production facility. This problem is motivated by the supply chain structure at Amy's Kitchen, one of the leading producers of natural and organic foods in the United States. We develop an enhanced myopic two‐stage approach for this problem. The first stage determines the production plan and uses a heuristic, and the second stage determines the warehouse allocation plan and uses a non‐linear optimization model. This two‐stage approach is repeated every period and incorporates look‐ahead features to improve its performance in future periods. We validate our model using actual data from one factory at Amy's Kitchen and compare the performance of our model to that of the actual operation. We find that our model significantly reduces both inventory levels and stockouts relative to those of the actual operation. In addition, we identify a lower bound on the total costs for all feasible solutions to the problem and measure the effectiveness of our model against this lower bound. We perform sensitivity analysis on some key parameters and assumptions of our modeling approach.  相似文献   
3.
A simple method of setting linear hypotheses testable by F-tests in a general linear model when the covariance matrix has a general form and is completely unknown, is provided. With some additional conditions imposed on the covariance matrix, there exist the UMP invariant tests of certain linear hypotheses. We derive them to compare the powers with those of F-tests obtained under no restrictions on the covariance matrix. The results are illustrated in a multiple regression model with some examples.  相似文献   
4.
Abstract

In the model selection problem, the consistency of the selection criterion has been often discussed. This paper derives a family of criteria based on a robust statistical divergence family by using a generalized Bayesian procedure. The proposed family can achieve both consistency and robustness at the same time since it has good performance with respect to contamination by outliers under appropriate circumstances. We show the selection accuracy of the proposed criterion family compared with the conventional methods through numerical experiments.  相似文献   
5.
This paper discusses a curved exponential family of distributions which is defined by a differential equation with respect to the expectation parameters in the two–dimensional exponential family. The differential equation considered here is the same as the one given by Efron (1975) for the trinomial distribution. This equation is extended here to a general exponential family, and called Efron's parameterization in the two–dimensional exponential family. The solution of Efron's parameterization is obtained explicitly in an exponential family, although Kumagai & Inagaki (1996) showed that there exists no proper solution of Efron's equation for the trinomial distribution, in line with the counterexample given by Efron (1975 p. 1206). The paper gives some characterizations of Efron's parameterization with special reference to Fisher's circle model. The implications of these characterizations are the two–dimensional normal distribution and a spiral curve in the plane.  相似文献   
6.
The statistical inference drawn from the difference between two independent Poisson parameters is often discussed in the medical literature. However, such discussions are usually based on the frequentist viewpoint rather than the Bayesian viewpoint. Here, we propose an index θ=P(λ1, post2, post), where λ1, post and λ2, post denote Poisson parameters following posterior density. We provide an exact and an approximate expression for calculating θ using the conjugate gamma prior and compare the probabilities obtained using the approximate and the exact expressions. Moreover, we also show a relation between θ and the p-value. We also highlight the significance of θ by applying it to the result of actual clinical trials. Our findings suggest that θ may provide useful information in a clinical trial.  相似文献   
7.
The pairwise comparison matrix is often used for the estimation of the priorities in the analytic hierarchy process. In this paper, we propose an estimation method based on the discrete probabilistic expression of each choice. Moreover, we show numerical examples to compare our method with commonly used ones. As a result, it is shown that, using a robust divergence measure for the estimation, the proposed method can extract the priorities more stably even if some outlying observations are included.  相似文献   
8.
In drug development, non‐inferiority tests are often employed to determine the difference between two independent binomial proportions. Many test statistics for non‐inferiority are based on the frequentist framework. However, research on non‐inferiority in the Bayesian framework is limited. In this paper, we suggest a new Bayesian index τ = P(π1 > π2 ? Δ0 | X1,X2), where X1 and X2 denote binomial random variables for trials n1 and n2, and parameters π1 and π2, respectively, and the non‐inferiority margin is Δ0 > 0. We show two calculation methods for τ, an approximate method that uses normal approximation and an exact method that uses an exact posterior PDF. We compare the approximate probability with the exact probability for τ. Finally, we present the results of actual clinical trials to show the utility of index τ. Copyright © 2013 John Wiley & Sons, Ltd.  相似文献   
9.
When selecting a model, robustness is a desirable property. However, most model selection criteria that are based on the Kullback–Leibler divergence tend to have reduced performance when the data are contaminated by outliers. In this paper, we derive and investigate a family of criteria that generalize the Akaike information criterion (AIC). When applied to a polynomial regression model, in the non contaminated case, the performance of this family of criteria is asymptotically equal to that of the AIC. Moreover, the proposed criteria tend to maintain sufficient levels of performance even in the presence of outliers.  相似文献   
10.
This paper explores a community development strategy to empowerrural women through educational and small-scale household economicactivities. Qualitative and quantitative data analysis methodswere used to assess the impact of a community development projectlaunched in a remote hill district of Nepal. Focusing on twoproject components, the paper concludes that a functional literacyprogramme is a good start, which has revealed its dynamism withpractical extensions in a post-literacy period. On the otherhand, group savings and credit programmes provide the drivingforce to help illiterate rural women start small-scale economicactivities that are effective in absorbing the female workforcein these communities. Community development programmes shouldbe ready to meet changing needs of the target population tomake them truly self-reliant after the completion of the project.  相似文献   
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