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Articles 241 - 270 of 317
Full-Text Articles in Statistics and Probability
Linear Regression Of The Poisson Mean, Duane Steven Brown
Linear Regression Of The Poisson Mean, Duane Steven Brown
All Graduate Theses and Dissertations, Spring 1920 to Summer 2023
The purpose of this thesis was to compare two estimation procedures, the method of least squares and the method of maximum likelihood, on sample data obtained from a Poisson distribution. Point estimates of the slope and intercept of the regression line and point estimates of the mean squared error for both the slope and intercept were obtained. It is shown that least squares, the preferred method due to its simplicity, does yield results as good as maximum likelihood.
Also, confidence intervals were computed by Monte Carlo techniques and then were tested for accuracy. For the method of least squares, confidence …
Nonparametric Analysis Of Right Censored Data With Multiple Comparisons, Hwei-Weng Shih
Nonparametric Analysis Of Right Censored Data With Multiple Comparisons, Hwei-Weng Shih
All Graduate Plan B and other Reports, Spring 1920 to Spring 2023
This report demonstrates the use of a computer program written in FORTRAN for the Burroughs B6800 computer at Utah State University to perform Breslow's (1970) generalization of the Kruskal-Wallis test for right censored data. A pairwise multiple comparison procedure using Bonferroni's inequality is also introduced and demonstrated. Comparisons are also made with a parametric F test and the original Kruskal-Wallis test. Application of these techniques to two data sets indicate that there is little difference among the procedures with the F test being slightly more liberal (too many differences) and the Kruskal-Wallis test corrected for ties being slightly more conservative …
Explanation Of The Fast Fourier Transform And Some Applications, Alan Kazuo Endo
Explanation Of The Fast Fourier Transform And Some Applications, Alan Kazuo Endo
All Graduate Theses and Dissertations, Spring 1920 to Summer 2023
This report describes the Fast Fourier Transform and some of its applications. It describes the continuous Fourier transform and some of its properties. Finally, it describes the Fast Fourier Transform and its applications to hurricane risk analysis, ocean wave analysis, and hydrology.
The Frobenius Theorem, Hiroshi Nagao
The Frobenius Theorem, Hiroshi Nagao
All Graduate Plan B and other Reports, Spring 1920 to Spring 2023
Many theorems in differential geometry which deal with the existence of certain geometrical structures or properties depend upon various existence and uniqueness theorems for differential equations. Because of its wide range of applications one of the most important of these theorems is the Frobenius Theorem for systems of total differential equations. There are four different forms of the Frobenius Theorem. In applications of the theorem one form is often preferable to the others. In this report we -shall prove the Frobenius Theorem, establish the equivalence of these various forms, and discuss a few applications.
A Confidence Interval Estimate Of Percentile, How Coung Jou
A Confidence Interval Estimate Of Percentile, How Coung Jou
All Graduate Theses and Dissertations, Spring 1920 to Summer 2023
The confidence interval estimate of percentile and its applications were studied. The three methods of estimating a confidence interval were introduced. Some properties of order statistics were reviewed. The Monte Carlo Method -- used to estimate the confidence interval was the most important one among the three methods. The generation of ordered random variables and the estimation of parameters were discussed clearly. The comparison of the three methods showed that the Monte Carlo method would always work, but the K-S and the simplified methods would not.
Evaluation Of Multivariate Homogenous Arma Model, Lucy Chienhua Tseng
Evaluation Of Multivariate Homogenous Arma Model, Lucy Chienhua Tseng
All Graduate Theses and Dissertations, Spring 1920 to Summer 2023
The purpose of this thesis is to study a restricted multivariate AFRMA model, called the Homogeneous Model. This model is defined as one in which each univariate component of the multivariate model is of the same order in p and q as it is in the multivariate model.
From a mathematical respect, multivariate ARMA model is homogeneous if, and only if, its coefficient matrices are diagonal. From a physical respect, the present observation of a phenomenon can be modeled only by its own past observation and its present and past "errors."
The estimation procedures are developed based on maximum likelihood …
Exact Analysis Of Variance With Unequal Variances, Noriaki Yanagi
Exact Analysis Of Variance With Unequal Variances, Noriaki Yanagi
All Graduate Theses and Dissertations, Spring 1920 to Summer 2023
The purpose of this paper was to present the exact analysis of variance with unequal variances. Bishop presented the new procedure for the r-way layout ANOVA. In this paper, one and two way layout ANOVA were explained and Bishop's method and Standard method were compared by using a Monte Carlo method.
Extreme Value Distribution In Hydrology, Bill (Tzeng-Lwen) Chen
Extreme Value Distribution In Hydrology, Bill (Tzeng-Lwen) Chen
All Graduate Theses and Dissertations, Spring 1920 to Summer 2023
The problems encountered when empirical fit is used as the sole criterion for choosing a distribution to represent annual flood data are discussed. Some theoretical direction is needed for this choice. Extreme value theory is established as a viable tool for analyzing annual flood data. Extreme value distributions have been used in previous analyses of flood data. However, no systematic investigation of the theory has previously been applied. Properties of the extreme value distributions are examined. The most appropriate distribution for flood data has not previously been fit to such data. The fit of the chosen extreme value distribution compares …
Factorial Analysis Of Variance And Covariance On A Minicomputer, Ladonna Black Kemmerle
Factorial Analysis Of Variance And Covariance On A Minicomputer, Ladonna Black Kemmerle
All Graduate Plan B and other Reports, Spring 1920 to Spring 2023
Statistical analysis of large data sets is commonly performed on computers using one of the many available programs. Most of these programs have been written for computers with internal storage large enough to handle nearly any data set. Recently, however, there has been a trend to computers with more limited storage capabilities. New programs must be written or old programs adapted so that large data sets may also be analyzed on these smaller machines.
This report describes a program to analyze data from a balanced experiment of crossed and/or nested design. It was written for the Data General Nova minicomputer …
A Μ-Model Approach On The Cell Means: The Analysis Of Full, Design Models With Non-Orthogonal Data, Richard Van Koningsveld
A Μ-Model Approach On The Cell Means: The Analysis Of Full, Design Models With Non-Orthogonal Data, Richard Van Koningsveld
All Graduate Theses and Dissertations, Spring 1920 to Summer 2023
This work considers the application of a µ-model approach on the cell means to a special yet important class of experimental designs. These include full factorial, completely nested, and mixed models with one or more observations per cell. By limiting attention to full models, an approach to the general data situation is developed which is both conceptually simple and computationally advantageous.
Conceptually, the method is simple because the design related effects are defined as if the cell means are single observations. This leads to a rather simple algorithm for generating main effect contrasts, from which associated interaction contrasts can also …
The Prior Distribution In Bayesian Statistics, Kai-Tang Chen
The Prior Distribution In Bayesian Statistics, Kai-Tang Chen
All Graduate Theses and Dissertations, Spring 1920 to Summer 2023
A major problem associated with Bayesian estimation is selecting the prior distribution. The more recent literature on the selection of the prior is reviewed. Very little of a general nature on the selection of the prior is formed in the literature except for non-informative priors. This class of priors is seen to have limited usefulness. A method of selecting an informative prior is generalized in this thesis to include estimation of several parameters using a multivariate prior distribution. The concepts required for quantifying prior information is based on intuitive principles. In this way, it can be understood and controlled by …
Estimation Of Floods When Runoff Originates From Nonhomogeneous Sources, David Ray Olson
Estimation Of Floods When Runoff Originates From Nonhomogeneous Sources, David Ray Olson
All Graduate Theses and Dissertations, Spring 1920 to Summer 2023
Extreme value theory is used as a basis for deriving a distribution function for flood frequency analysis when runoff originates from nonhomogeneous sources. A modified least squares technique is used to estimate the parameters of the distribution function for eleven rivers. Goodness-of-fit statistics are computed and the distribution function is found to fit the data very well.
The derived distribution function is recommended as a base method for flood frequency analysis for rivers exhibiting nonhomogeneous sources of runoff if further investigation also proves to be positive.
A Discussion Of An Empirical Bayes Multiple Comparison Technique, Donna Baranowski
A Discussion Of An Empirical Bayes Multiple Comparison Technique, Donna Baranowski
All Graduate Plan B and other Reports, Spring 1920 to Spring 2023
This paper considers the application and comparison of Bayesian and nonBayesian multiple comparison techniques applied to sets of chemical analysis data. Suggestions are also made as to which methods should be used.
The Evolution Of Ibm's Information Management System-- A Significant Data Base/Data Communications Software Product, Brent W. Anderson
The Evolution Of Ibm's Information Management System-- A Significant Data Base/Data Communications Software Product, Brent W. Anderson
All Graduate Plan B and other Reports, Spring 1920 to Spring 2023
In the early 1970's it was said that data base management systems (DBMS) would be to the 70's what COBOL was to the 60's. Clearly, recognition of the need to manage and effectively utilize data has resulted in significant efforts to develop computer hardware and software to meet this great challenge.
Multicollinearity And The Estimation Of Regression Coefficients, John Charles Teed
Multicollinearity And The Estimation Of Regression Coefficients, John Charles Teed
All Graduate Theses and Dissertations, Spring 1920 to Summer 2023
The precision of the estimates of the regression coefficients in a regression analysis is affected by multicollinearity. The effect of certain factors on multicollinearity and the estimates was studied. The response variables were the standard error of the regression coefficients and a standarized statistic that measures the deviation of the regression coefficient from the population parameter.
The estimates are not influenced by any one factor in particular, but rather some combination of factors. The larger the sample size, the better the precision of the estimates no matter how "bad" the other factors may be.
The standard error of the regression …
Interpretation Of Principal Components, Marwan A. Dabdoub
Interpretation Of Principal Components, Marwan A. Dabdoub
All Graduate Theses and Dissertations, Spring 1920 to Summer 2023
The principal component analysis can be carried out two ways. First the R-mode:
R = K'K
and the second is the Q-mode:
Q = K K'
where K is a data matrix centered by column or by row. The most commonly used method is the R-mode.
It has been suggested that principal components computed from either the R-mode or the Q-mode may have the same interpretation. If this is true, then interpretation of the principal components could be put on a much more intuitive level in many applications. This will occur whenever one type of principal component …
Comparison Of The Fisher's Method Of Randomization With Other Tests Based On Ranks And The F-Test, Francisco J. González
Comparison Of The Fisher's Method Of Randomization With Other Tests Based On Ranks And The F-Test, Francisco J. González
All Graduate Plan B and other Reports, Spring 1920 to Spring 2023
Classical statistical inference methods (parametric methods) have a common denominator, i.e. a population para meter (μ, o, n) about which we wish to draw inferences from a random sample. R) are selected. Point estimators of the parameters (X, S, Their sampling distribution is used to construct hypothesis testing decision rules or, confidence interval formulas. This is the reason for calling this method of obtaining inferences a parametric method. They are based on knowing the distribution of the population random variable from which the sampling distribution of the point estimator is determined. In addition, it is generally assumed that the population, …
Estimation Of Μy Using The General Regression Model (In Sampling), Michael R. Manieri
Estimation Of Μy Using The General Regression Model (In Sampling), Michael R. Manieri
All Graduate Plan B and other Reports, Spring 1920 to Spring 2023
The methods of ratio and regression estimators discussed by Cochran(l977) are given as background materials and extended to the estimation of µy, the population mean of the Y's, using a general regression model.
The propagation of error technique given by Deming(l948) is used as an approximation to find the variance of the estimator µy.
Examples are given for each of the various models. Variances of μy are calculated and compared
Factor Analysis Method, Stephen Hauwah Kan
Factor Analysis Method, Stephen Hauwah Kan
All Graduate Plan B and other Reports, Spring 1920 to Spring 2023
The logical steps performed when doing a factor analysis can be classified into three operation s. The first step concerns the exact mode of analysis and involves the type of centering, scaling and formation o f sums of squares . The second step involves extraction of initial factors. The algebraic basis of the factors are rotated in the last step to obtain a more easily interpreted set of factors. At each step several different methods have been suggested and appear in the literature. Two primary modes of factor analysis are commonly used an d they are denoted as R-mode and …
Specific Hypotheses In Linear Models And Their Power Function In Unbalanced Data, Seyed Mohtaba Taheri
Specific Hypotheses In Linear Models And Their Power Function In Unbalanced Data, Seyed Mohtaba Taheri
All Graduate Plan B and other Reports, Spring 1920 to Spring 2023
A hypothesis is a statement or claim about the state of nature. Scientific investigators, market researchers, governmental decision makers, among others, will often have hypotheses about the particular facet of nature, hypotheses that need verification or rejection, for one purpose or another. Statisticians concerned with testing hypotheses using unbalanced data on the basis of linear models have talked about the difficulties involved for many years but, probably because the problems are not easily resolved, there is yet no satisfactory solution to these problems
Evaluation Of An Experiment After Analysis Of Variance, Abdullah Sulaiman Atheem
Evaluation Of An Experiment After Analysis Of Variance, Abdullah Sulaiman Atheem
All Graduate Plan B and other Reports, Spring 1920 to Spring 2023
If experimental data are obtained according to an experimental design for which analysis of variance (AOV) is appropriate, the result of the analysis is one of the following decisions:
1. A significant difference exists among treatment effects.
2. No significant difference exists.
Interpretation in the first case has been studied very thoroughly by many statisticians resulting, for example, in the multiple comparison procedure. Too often, in the second case, the AOV analysis is thought to be completed with no further attempt to interpret a nonsignificant outcome.
Of the many possible explanations for significance in the first case, the multiple comparison …
An Empirical Comparison Of Confidence Interval For Relative Potency, Catherine H. Lung
An Empirical Comparison Of Confidence Interval For Relative Potency, Catherine H. Lung
All Graduate Plan B and other Reports, Spring 1920 to Spring 2023
Biological assays are essentially biological experiments. To compare the potencies of treatments on an agreed scale is generally of more interest than to compare the magnitude of effects of different treatments.
The relative potency, R = a/b, is defined as the ratio of the means of two equally effective doses where a is the mean of A and bis the mean of B. It is an estimate of the potency of one preparation, A, relative to that of the other, B.
Different procedures have been proposed to obtain the values of R and its confidence interval. Three of the these …
Linear Comparisons In Multivariate Analysis Of Variance, Hsin-Ming Tzeng
Linear Comparisons In Multivariate Analysis Of Variance, Hsin-Ming Tzeng
All Graduate Plan B and other Reports, Spring 1920 to Spring 2023
The analysis of variance was created by Ronald Fisher in 1923. It is most widely used and basically useful approach to study differences among treatment averages.
An Evaluation Of Truncated Sequential Test, Ryh-Thinn Chang
An Evaluation Of Truncated Sequential Test, Ryh-Thinn Chang
All Graduate Theses and Dissertations, Spring 1920 to Summer 2023
The development of sequential analysis has led to the proposal of tests that are more economical in that the Average Sample Number (A. S. N.) of the sequential test is smaller than the sample size of the fixed sample test. Although these tests usually have a smaller A. S. N. than the equivelent fixed sample procedure, there still remains the possibility that an extremely large sample size will be necessary to make a decision. To remedy this, truncated sequential tests have been developed.
A method of truncation for testing a composite hypotheses is studied. This method is formed by mixing …
A Study Of Four Statistics, Used In Analysis Of Contingency Tables, In The Presence Of Low Expected Frequencies, Jane R. Post
A Study Of Four Statistics, Used In Analysis Of Contingency Tables, In The Presence Of Low Expected Frequencies, Jane R. Post
All Graduate Theses and Dissertations, Spring 1920 to Summer 2023
Four statistics used for the analysis of categorical data were observed in the presence of many zero cell frequencies in two way classification contingency tables. The purpose of this study was to determine the effect of many zero cell frequencies upon the distribution properties of each of the four statistics studied. It was found that Light and Margolin's C and Pearson's Chi-square statistic closely approximated the Chi-square distribution as long as less than one-third of the table cells were empty. It was found that the mean and variance of Kullbach's 2I were larger than the expected values in the presence …
Multivariate Analysis Of Variance For Simple Designs, Yin-Yin Chen
Multivariate Analysis Of Variance For Simple Designs, Yin-Yin Chen
All Graduate Plan B and other Reports, Spring 1920 to Spring 2023
The analysis of variance is a well known tool for testing how treatments change the average response of experimental units. The essence of the procedure is to compare the variation among means of groups of units subjected to the same treatment with the within treatment variation. If the variation among means is large with respect to the within group variation we are likely to conclude that the treatments caused the variation and hence we say the treatments cause some change in the group means.
The usual analysis of variance checks how far apart the group means are in a single …
Program For Missing Data In The Multivariate Normal Distribution, Chi-Ping Lu
Program For Missing Data In The Multivariate Normal Distribution, Chi-Ping Lu
All Graduate Plan B and other Reports, Spring 1920 to Spring 2023
Missing data can often cause many problems in research work. Therefore for carrying out analysis, some procedure for obtaining estimates in the presence of missing data should be applied. Various theories and techniques have been developed for different types of problems.
Analysis of the Multivariate Normal Distribution with missing data is one of the areas studied. It has been discussed earlier by Wilkes (1932), Lord (1955), Edgett (1956) and Hartley (1958). They have established some basic concepts and an outline in the way of estimation.
In the last ten years, A. A. Afifi and R. M. Elasfoff also have contributed …
Discriminant Function Analysis, Kuo Hsiung Su
Discriminant Function Analysis, Kuo Hsiung Su
All Graduate Plan B and other Reports, Spring 1920 to Spring 2023
The technique of discriminant function analysis was originated by R.A. Fisher and first applied by Barnard (1935). Two very useful summaries of the recent work in this technique can be found in Hodges (1950) and in Tosuoka and Tiedeman (1954). The techniques have been used primarily in the fields of anthropology, psychology, biology, medicine, and education, and have only begun to be applied to other fields in recent years.
Classification and discriminant function analyses are two phases in the attempt to predict which of several populations an observation might be a member of, on the basis of multivariate measurements. Both …
An Evaluation Of Bartlett's Chi-Square Approximation For The Determinant Of A Matrix Of Sample Zero-Order Correlation Coefficients, Stephen M. Hattori
An Evaluation Of Bartlett's Chi-Square Approximation For The Determinant Of A Matrix Of Sample Zero-Order Correlation Coefficients, Stephen M. Hattori
All Graduate Plan B and other Reports, Spring 1920 to Spring 2023
The single equation least-squares regression model has been extensively studied by economists and statisticians alike in order to determine the problems which arise when particular assumptions are violated. Much literature is available in terms of the properties and limitations of the model. However, on the multicollinearity problem, there has been little research, and consequently, limited literature is available when the problem is encountered. Farrar & Glauber (1967) present a collection of techniques to use in order to detect or diagnose the occurrence of multicollinearity within a regression analysis. They attempt to define multicollinearity in terms of departures from a hypothesized …
The Computation Of Eigenvalues And Eigenvectors Of An Nxn Real General Matrix, Yeh-Hao Ma
The Computation Of Eigenvalues And Eigenvectors Of An Nxn Real General Matrix, Yeh-Hao Ma
All Graduate Plan B and other Reports, Spring 1920 to Spring 2023
The eigenvalues of the matrix eigenproblem Ax = λx are computed by the QR double-step method and the eigenvectors by inverse power method.
The matrix A is preliminarily scaled by the equilibration and normalization procedure. The scaled matrix is then reduced to an upper-Hessenberg form by Householder's method. The QR double-step iteration is performed on the upper-Hessenberg matrix. After all the eigenvalues are found, the inverse power method is performed on the upper-Hessenberg matrix to obtain the corresponding eigenvectors.
The program consists of five subroutines which is able to find real and/or complex eigen value/vector of an nxn real matrix.