首页 | 本学科首页   官方微博 | 高级检索  
文章检索
  按 检索   检索词:      
出版年份:   被引次数:   他引次数: 提示:输入*表示无穷大
  收费全文   16篇
  免费   0篇
理论方法论   1篇
统计学   15篇
  2019年   1篇
  2018年   1篇
  2017年   5篇
  2013年   5篇
  2009年   2篇
  2008年   1篇
  2004年   1篇
排序方式: 共有16条查询结果,搜索用时 15 毫秒
1.
2.
In this article, a family of distributions, namely the exponentiated family of distributions, is defined and for the unknown parameters, different point estimates are derived based on record statistics. Prediction for future record values is presented from a Bayesian view point. Two numerical examples and a Monte Carlo simulation study are presented to illustrate the results.  相似文献   
3.
Despite the availability of free medicines under the Directly Observed Treatment Short-course (DOTS) strategy, the treatment of tuberculosis (TB) still involves high costs that push people into poverty. This study aims to assess the resulting economic burden of TB and examine the coping mechanisms practiced at the household level in Pakistan. A cross-sectional study was conducted at TB centers by interviewing 269 patients. Statistical tests and binary logistic regression were used to explore the relationship between catastrophic health expenditures (CHE) and socio-economic factors. Results show that the incidence and intensity of CHE were higher for households in the lower income-quintile. Several coping strategies were practiced and varied among the different income-quintiles. The independent determinants of CHE were as follows: age >40 years, male-patient, location, earner-ratio, patient as the earner, caretaker visits, treatment delay, and co-morbidity. It is recommended that health policymakers develop post-MDGs TB-control strategies to ensure free TB-services with financial protection around the globe.  相似文献   
4.
This paper considers estimation of a exponential mean time to failure using a loss function that reflects both goodness of fit and precision of estimation. The admissibility and inadmissibility of a class of linear estimators of the form are studied.  相似文献   
5.
This article considers the maximum likelihood and Bayes estimation of the stress–strength reliability based on two-parameter generalized exponential records. Here, we extend the results of Baklizi [Computational Statistics and Data Analysis 52 (2008), 3468–3473] to explain a wide variety of real datasets. We also consider the estimation of R when the same shape parameter is known. The results for exponential distribution can be obtained as a special case with different scale parameters.  相似文献   
6.
A new lifetime distribution is introduced based on compounding Pareto and Poisson–Lindley distributions. Several statistical properties of the distribution are established, including behavior of the probability density function and the failure rate function, heavy- and long-right tailedness, moments, the Laplace transform, quantiles, order statistics, moments of residual lifetime, conditional moments, conditional moment generating function, stress–strength parameter, Rényi entropy and Song's measure. We get maximum-likelihood estimators of the distribution parameters and investigate the asymptotic distribution of the estimators via Fisher's information matrix. Applications of the distribution using three real data sets are presented and it is shown that the distribution fits better than other related distributions in practical uses.  相似文献   
7.
Developing statistical methods to model hydrologic events is always interesting for both statisticians and hydrologists, because of its importance in hydraulic structures design and water resource planning. Because of this, a flexible 3-parameter generalization of the exponential distribution is introduced based on the binomial exponential 2 (BE2) distribution [2 H.S. Bakouch, M. Aghababaei Jazi, S. Nadarajah, A. Dolati, and R. Roozegar, A lifetime model with increasing failure rate, Appl. Math. Model. 38 (2014), pp. 53925406. doi: 10.1016/j.apm.2014.04.028[Crossref], [Web of Science ®] [Google Scholar]]. The proposed distribution involving the exponential, gamma and BE2 distributions as submodels; and it exhibits decreasing, increasing and bathtub-shaped hazard rates, so it turns out to be quite flexible for analyzing non-negative real life data. Some statistical properties, parameters estimation and information matrix of the distribution are investigated. The proposed distribution, Gumbel, generalized Logistic and other distributions are utilized to model and fit two hydrologic data sets. The distribution is shown to be more appropriate to the data than the compared distributions using the selection criteria: average scaled absolute error, Akaike information criterion, Bayesian information criterion and Kolmogorov–Smirnov statistics. As a result, some hydrologic parameters of the data are obtained such as return level, conditional mean, mean deviation about the return level and the rth moments of order statistics.  相似文献   
8.
In this paper, we develop Bayesian predictive inferential procedures for prediction of repair times of a series system, applying a minimal repair strategy, using the information contained in an independent observed hybrid censored sample of the lifetimes of the components of the system, assuming the underlying distribution of the lifetimes to be Rayleigh distribution. An illustrative real data example and a simulation study are presented for the purpose of illustration and comparison of the proposed predictors.  相似文献   
9.
Abstract

Based on Balakrishnan's (2002 Balakrishnan, N. (2002). Discussion on “Skew multivariate models related to hidden truncation and/or selective reporting” by B.C. Arnold and R.J. Beaver. Test 11: 3739.[Web of Science ®] [Google Scholar]) novel idea, a new skew logistic distribution is proposed. It contains Azzalini's skew logistic and standard logistic distributions as particular cases. Several mathematical properties of the proposed distribution (including characteristic function, cumulative distribution function, stochastic orderings, and simulation schemes) are derived. A real-data application is used to illustrate practical usefulness.  相似文献   
10.
Estimation of a normal mean relative to balanced loss functions   总被引:3,自引:0,他引:3  
LetX 1,…,X nbe a random sample from a normal distribution with mean θ and variance σ2. The problem is to estimate θ with Zellner's (1994) balanced loss function, % MathType!End!2!1!, where 0<ω<1. It is shown that the sample mean % MathType!End!2!1!, is admissible. More generally, we investigate the admissibility of estimators of the form % MathType!End!2!1! under % MathType!End!2!1!. We also consider the weighted balanced loss function, % MathType!End!2!1!, whereq(θ) is any positive function of θ, and the class of admissible linear estimators is obtained under such loss withq(θ) =e θ .  相似文献   
设为首页 | 免责声明 | 关于勤云 | 加入收藏

Copyright©北京勤云科技发展有限公司  京ICP备09084417号