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Full-Text Articles in Physical Sciences and Mathematics

Solutions Of The Problem Of Finding Confidence Intervals For The Two Normal Population With Unequal Variances, Ing-Haur Liu May 1970

Solutions Of The Problem Of Finding Confidence Intervals For The Two Normal Population With Unequal Variances, Ing-Haur Liu

All Graduate Plan B and other Reports, Spring 1920 to Spring 2023

Comparison of the means of two normal populations is a simpler problem when the variance (if unknown) are assumed to be equal than it is when they are not equal. The main concern of this report is the latter case also called the Behrens [4] - Fisher [5] problem.

In this report the solutions proposed by Behrens-Fisher, Scheffe [10], Welch [12], Banerjee [3] and Hajek [8], will be described and compared. To this problem Scheffe proposed a solution which has the advantage that no special table is necessary for its use, since the variate has an exact "Student's t" distribution. …


Nonparametric Test Of Fit, Frena Nawabi May 1970

Nonparametric Test Of Fit, Frena Nawabi

All Graduate Plan B and other Reports, Spring 1920 to Spring 2023

Most statistical methods require assumptions about the populations from which samples are taken. Usually these methods measure the parameters, such as variance, standard deviations, means, etc., of the respective populations. One example is the assumption that a given population can be approximated closely with a normal curve. Since these assumptions are not always valid, statisticians have developed several alternate techniques known as nonparametric tests. The models of such tests do not specify conditions about population parameters.

Certain assumptions, such as (1) observations are independent and (2) the variable being studied has underlying continuity, are associated with most nonparametric tests. However, …


A Report On The Statistical Properties Of The Coefficient Of Variation And Some Applications, Howard P. Irvin May 1970

A Report On The Statistical Properties Of The Coefficient Of Variation And Some Applications, Howard P. Irvin

All Graduate Theses and Dissertations, Spring 1920 to Summer 2023

Examples from four disciplines were used to introduce the coefficient of variation which was considered to have considerable usage and application in solving Quality Control and Reliability problems.

The statistical properties were found in the statistical literature and are presented, namely, the mean and the variance of the coefficient of variation. The cumulative probability function was determined by two approximate methods and by using the noncentral t distribution. A graphical method to determine approximate confidence intervals and a method to determine if the coefficients of variation from two samples were significantly different from each other are also provided (with examples). …


Model For Bathtub-Shaped Hazard Rate: Monte Carlo Study, Glen S. Leithead May 1970

Model For Bathtub-Shaped Hazard Rate: Monte Carlo Study, Glen S. Leithead

All Graduate Theses and Dissertations, Spring 1920 to Summer 2023

A new model developed for the entire bathtub-shaped hazard rate curve has been evaluated as to its usefulness as a method of reliability estimation. The model is of the form:

F(t) = 1 - exp - (ϴ1tL + ϴ2t + ϴ3tM)

where "L" and "M" were assumed known.

The estimate of reliability obtained from the new model was compared with the traditional restricted sample estimate for four different time intervals and was found to have less bias and variance for all time points.

This was a monte carlo study and the …


The Practical Solutions And Computer Program Of Two Statistical Problems In Simulation, Yee Fong May 1969

The Practical Solutions And Computer Program Of Two Statistical Problems In Simulation, Yee Fong

All Graduate Plan B and other Reports, Spring 1920 to Spring 2023

In the last several years monte-carlo simulation has become a major tool for the analysis of complex queuing systems which are no readily amenable to analysis by conventional mathematical methods. By a complex queueing system is mean a system composed of, physically or by analogy, a network of stations or servers with traffic units moving through all or some of the servers, into the system and out or around within the system. A traffic unit desiring service by a server may either have to enter a queue first or may be served immediately. Such systems have been simulated often with …


Partially Balanced Incomplete Block Designs, Yaw-Tarng Shih May 1969

Partially Balanced Incomplete Block Designs, Yaw-Tarng Shih

All Graduate Plan B and other Reports, Spring 1920 to Spring 2023

In balanced incomplete block designs, each pair of treatments is compared with equal precision, and each treatment is paired with every other treatment an equal number of times with in a common block; A is a constant for all treatments. There is one associate class for each treatment in balanced incomplete block designs. These are the most important balanced incomplete block designs, but the need sometimes arises for others; either because no suitable balanced incomplete block design exists, or because, for example, it is necessary to make some comparisons more precisely than others. We can see balanced incomplete block designs …


Analysis Of Contingency Tables, James Joseph Biundo May 1969

Analysis Of Contingency Tables, James Joseph Biundo

All Graduate Theses and Dissertations, Spring 1920 to Summer 2023

Two methods of analyzing multi-dimensional frequency data are detailed.

The Second Order Exponential (SOE) model is applicable for dichotomous classifications. The distribution has two sets of parameters, ϴi's and ϴj's. The ϴi's are interpreted as the log of the odds of the marginal probabilities if no two factor relationships exist. Or if all ϴij are not zero, then the ϴi's are analogous to a main effect in a 2m factorial analysis, (m = number of factors or classifications). The ϴif's may be interpreted as a measure and direction …


Design Optimization Using Model Estimation Programming, Richard Kay Brimhall May 1967

Design Optimization Using Model Estimation Programming, Richard Kay Brimhall

All Graduate Theses and Dissertations, Spring 1920 to Summer 2023

Model estimation programming provides a method for obtaining extreme solutions subject to constraints. Functions which are continuous with continuous first and second derivatives in the neighborhood of the solution are approximated using quadratic polynomials (termed estimating functions) derived from computed or experimental data points. Using the estimating functions, an approximation problem is solved by a numerical adaptation of the method of Lagrange. The method is not limited by the concavity of the objective function.

Beginning with an initial array of data observations, an initial approximate solution is obtained. Using this approximate solution as a new datum point, the coefficients for …


Spectral Analysis Of Time-Series Associated With Control Systems, Karl Leland Smith May 1965

Spectral Analysis Of Time-Series Associated With Control Systems, Karl Leland Smith

All Graduate Theses and Dissertations, Spring 1920 to Summer 2023

The progress of science is based to a large degree on experimentation. The scientist, engineer, or researcher is usually interested in the results of a single experiment only to the extent that he hopes to generalize the results to a class of similar experiments associated with an underlying phenomenon. The process by which this is done is called inductive inference and is always subject to uncertainty. The science of statistical inference can be used to make inductive inferences for which the degree of uncertainty can be measure in terms of probability. A second type of inference called deductive inference is …