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1.
Here, we consider a generalized form of the alternative zero-inflated logarithmic series distribution of Kumar and Riyaz (J. Statist. Comp. Simul., 2015) and study some of its important aspects. The parameters of the distribution are estimated by the method of maximum likelihood and some test procedures are developed for testing the significance of the additional parameter of the model. All these estimation and testing procedures are illustrated with the help of certain real life datasets. A simulation study is also carried out for assessing the performance of the estimators.  相似文献   
2.
Here we consider an exponentiated version of the reduced Kies distribution and discuss some of its properties. The parameters of the distribution are estimated by the method of maximum likelihood and illustrated with the help of certain real-life data sets. Asymptotic behavior of the maximum likelihood estimators of the parameters of the distribution is also studied by using certain simulated data sets.  相似文献   
3.
In this paper, we develop a generalized version of the two-piece skew normal distribution of Kim [On a class of two-piece skew-normal distributions, Statistics 39(6) (2005), pp. 537–553] and derive explicit expressions for its distribution function and characteristic function and discuss some of its important properties. Further estimation of the parameters of the generalized distribution is carried out.  相似文献   
4.
In this paper, a generalized version of the intervened negative binomial distribution of Kumar and Sreeja [On intervened negative binomial distribution and some of its properties. Statistica. 2012;72:395–404] is considered and studied some of its properties. Certain methods of estimation of the parameters of the distribution are discussed and illustrated with the help of real life data sets. A test procedure is suggested for testing the intervention parameter and a simulation study is conducted for examining the performance of the estimators.  相似文献   
5.
Farmers in Sub-Saharan Africa have lower agricultural technology adoption rates compared to the rest of the world. It is believed that the past season yield affects a farmer''s capacity to take on the riskier improved seed variety; but this effect has not been studied. We quantify the effect of past season yield on improved corn seed use in future seasons while addressing the impact of the seed variety on yield. We develop a maximum likelihood method that addresses the fact that farmers self-select into a technology resulting in its effect on yield being endogenous. The method is unique since it models both lagged and endogenous effects in correlated discrete and continuous outcomes simultaneously. Due to the prescence of the lagged effect in a three year dataset, we also propose a solution to the initial conditions problem and demonstrate with simulations its effectiveness. We used survey longitudinal data collected from Kenyan corn farmers for three years. Our results show that higher past season yield increased the likelihood of adoption in future seasons. The simulation and empirical studies indicate that ignoring the self selection of improved seed use biases the results; we obtain a different sign in the covariance.  相似文献   
6.
7.
Abstract

A generalization of Chauvenet's test (see Bol'shev, L. N. 1969 Bol'shev, L. N. 1969. On tests for rejecting outlying observations. Trudy In-ta prikladnoi Mat. Tblissi Gosudart. univ., 2: 159177. (In Russian) [Google Scholar]. On tests for rejecting outlying observations. Trudy In-ta prikladnoi Mat. Tblissi Gosudart. univ. 2:159–177. (In Russian); Voinov, V. G., Nikulin, M. N. 1996 Voinov, V. G. and Nikulin, M. N. 1996. Unbaised Estimators and Their Applications Vol. 2, Kluwer Academic Publishers.  [Google Scholar]. Unbaised Estimators and Their Applications. Vol. 2. Kluwer Academic Publishers.) suitable to applied the problem of detecting r outliers in an univariate data set is proposed. In the exponential case, the Chauvenet's test can be used. Various modifications of this test were considered by Bol'shev, Ibrakimov and Khalfina (Ibrakimov, I. A., Khalfina 1978 Ibrakimov, I. A. and Khalfina. 1978. Some asymptotic results concerning the Chauvenet test. Ter. Veroyatnost. i Primenen., 23(3): 593597.  [Google Scholar]. Some asymptotic results concerning the Chauvenet test. Ter. Veroyatnost. i Primenen. 23(3):593–597.), Greenwood and Nikulin (Greenwood, Nikulin, P. E. 1996 Greenwood and Nikulin, P. E. 1996. A Guide to Chi-Squared Testing New York: John Wiley and Sons, Inc..  [Google Scholar]. A Guide to Chi-Squared Testing. New York: John Wiley and Sons, Inc.) depending on the choice of the estimation method used: MLE or MVUE. As procedures for testing one outlier in exponential model have been investigated by a number of authors including Chikkagoudar and Kunchur (Chikkagoudar, M. S., Kunchur, S. H. 1983 Chikkagoudar, M. S. and Kunchur, S. H. 1983. Distribution of test statistics for multiple outliers in exponential samples. Comm. Stat. Theory. and Meth., 12: 21272142. [Taylor &; Francis Online], [Web of Science ®] [Google Scholar]. Distribution of test statistics for multiple outliers in exponential samples. Comm. Stat. Theory. and Meth. 12:2127–2142.), Lewis and Fieller (Lewis, T., Fiellerm N. R. J. 1979 Lewis, T. and Fiellerm, N. R. J. 1979. A recursive algorithm for null distribution for outliers: I. Gamma samples. Technometrics, 21: 371376. [Taylor &; Francis Online], [Web of Science ®] [Google Scholar]. A recursive algorithm for null distribution for outliers : I. Gamma samples. Technometrics 21:371–376.), Likes (Likes, J. 1966 Likes, J. 1966. Distribution of Dixon's statistics in the case of an exponential population. Metrika, 11: 4654. (91, 96, 136, 198–200, 204, 209, 210)[Crossref] [Google Scholar]. Distribution of Dixon's statistics in the case of an exponential population. Metrika 11:46–54. (91, 96, 136, 198–200, 204, 209, 210).) and Kabe (Kabe, D. G. 1970 Kabe, D. G. 1970. Testing outliers from an exponential population. Metrika, 15: 1518. [Crossref], [Web of Science ®] [Google Scholar]. Testing outliers from an exponential population. Metrika 15:15–18.); only two types of statistics for testing multiple outliers exist. First is Dixon's while the second is based on the ratio of the sum of the observations suspected to be outliers to the sum of all observations of the sample. In fact, most of these authors have considered a general case of gamma model and the results for exponential model are given a special case. The object of the present communication is to focus on alternative models, namely slippage alternatives (see Barnett, Vic., Toby Lewis 1978 Barnett, Vic. and Toby, Lewis. 1978. Outlier in Statistical Data New York: John Wiley and Sons, Inc..  [Google Scholar]. Outlier in Statistical Data. New York: John Wiley and Sons, Inc.) in exponential samples. We propose a statistic different from the well known Dixon's statistic Dr to test for multiple outliers. Distribution of the test based on this new statistic under slippage alternatives is obtained and hence the tables of critical values are given, for various n (size of the sample) and r (the number of outliers). The power of the new test is also calculated, it is compared to the power of the Dixon's statistic (Chikkagoudar, M. S., Kunchur, S. H. 1983 Chikkagoudar, M. S. and Kunchur, S. H. 1983. Distribution of test statistics for multiple outliers in exponential samples. Comm. Stat. Theory. and Meth., 12: 21272142. [Taylor &; Francis Online], [Web of Science ®] [Google Scholar]. Distribution of test statistics for multiple outliers in exponential samples. Comm. Stat. Theory. and Meth. 12:2127–2142.). Notice that the new statistic based test power is greater the Dixon's statistic based test one.  相似文献   
8.
ABSTRACT

Here we introduce a new class of distributions namely the generalized hyper-Poisson distribution of order k (GHPD(k)) as an order k version of the alpha-generalized hyper-Poisson distribution of Kumar and Nair (Statistica, 2014b Kumar, C.S., Nair, B.U. (2014b). A three parameter hyper-Poisson distribution and some of its properties. Statistica. 74(2):183–198. [Google Scholar]). Several properties of the GHPD(k) are derived and the estimation of the parameters of the distribution by the method of mixed moments and the method of maximum likelihood is discussed. Certain testing procedures are suggested and all these estimation and testing procedures are illustrated with the help of a real-life data set. Further a simulation study is conducted.  相似文献   
9.
In this article, we formulate a transfer theorem in terms of probability generating functions and discuss two approaches to limit distributions of random sums of Z +-valued random variables. We then develop Z +-valued N-ID and ?-ID laws.  相似文献   
10.
Here we consider a more flexible class of the additive Weibull distribution of Xie and Lai (Reliab. Eng. Syst. Safety, 1995) and investigate some of its important properties such as expressions for its cumulative distribution function, reliability measures, quantile function, characteristic function, raw moments, incomplete moments, etc. The distribution and moments of order statistics are obtained along with certain structural properties. The maximum-likelihood estimation of the parameters of the distribution is attempted and the usefulness of the model in certain applied areas is illustrated with the help of certain real life data sets.  相似文献   
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