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Articles 1 - 8 of 8
Full-Text Articles in Statistical Theory
Performance Of The Two Sample Likelihood Ratio Test Under A Nested Dirichlet: A Simulation Study, Edwina Agyeman
Performance Of The Two Sample Likelihood Ratio Test Under A Nested Dirichlet: A Simulation Study, Edwina Agyeman
Electronic Theses and Dissertations
Compositional data analysis (CoDA) addresses multivariate data constrained to a constant sum, such as proportions or percentages. Originating from early warnings regarding misinterpretation by Pearson (1897), the field was formalized by John Aitchison in 1986, whose foundational work remains highly influential. Over time, new modeling techniques and visualization tools have advanced the field, as noted by Greenacre et al. More recently, Turner et al. proposed an approach based on the Nested Dirichlet Distribution (NDD), which accommodates more flexible dependence structures than the standard Dirichlet model. This thesis builds on the methodology of Turner et al. Chapter 1 introduces the nature …
A Uniformly Most Powerful Test For The Mean Of A Beta Distribution, Richard Ntiamoah Kyei
A Uniformly Most Powerful Test For The Mean Of A Beta Distribution, Richard Ntiamoah Kyei
Electronic Theses and Dissertations
The beta distribution is used in numerous real-world applications, including areas such as manufacturing (quality control) and analyzing patient outcomes in health care. It also plays a key role in statistical theory, including multivariate analysis of variance (MANOVA) and Bayesian statistics. It is a flexible distribution that can account for many different characteristics of real data. To our surprise, there has been very little work or discussion on performing statistical hypothesis testing for the mean when it is reasonable to assume that the population is beta distributed. Many analysts conduct traditional analyses using a t-test or nonparametric approach, try transformations, …
Simulation Study On Confidence Interval Estimation For Standard Deviation With Non-Normal Distributions, Theophilus Oppong Kyeremeh
Simulation Study On Confidence Interval Estimation For Standard Deviation With Non-Normal Distributions, Theophilus Oppong Kyeremeh
Electronic Theses and Dissertations
This study explores innovative approaches to constructing confidence intervals for the population standard deviation, σ, in non-normal data scenarios. While the sample standard deviation, s, is widely used, its reliability is compromised when dealing with skewed or heavy-tailed distributions and exhibits sensitivity to outliers. Our research addresses these limitations by investigating alternative estimation methods that offer greater robustness and accuracy.
Confidence Interval For The Mean Of A Beta Distribution, Sean Rangel
Confidence Interval For The Mean Of A Beta Distribution, Sean Rangel
Electronic Theses and Dissertations
Statistical inference for the mean of a beta distribution has become increasingly popular in various fields of academic research. In this study, we developed a novel statistical model from likelihood-based techniques to evaluate various confidence interval techniques for the mean of a beta distribution. Simulation studies will be implemented to compare the performance of the confidence intervals. In addition to the development and study involving confidence intervals, we will also apply the confidence intervals to real biological data that was gathered by the Department of Biology at Stephen F. Austin State University and provide recommendations on the best practice.
Using Saddlepoint Approximations And Likelihood-Based Methods To Conduct Statistical Inference For The Mean Of The Beta Distribution, Bryn Brakefield
Using Saddlepoint Approximations And Likelihood-Based Methods To Conduct Statistical Inference For The Mean Of The Beta Distribution, Bryn Brakefield
Electronic Theses and Dissertations
The prevalence of conducting statistical inference for the mean of the beta distribution has been rising in various fields of academic research, such as in immunology that analyzes proportions of rare cell population subsets. For our purposes, we will address this statistical inference problem by using likelihood-based applications to hypothesis testing, along with a relatively new statistical method called saddlepoint approximations. Through simulation work, we will compare the performance of these statistical procedures and provide both the statistical and scientific communities with recommendations on best practices.
Wald Confidence Intervals For A Single Poisson Parameter And Binomial Misclassification Parameter When The Data Is Subject To Misclassification, Nishantha Janith Chandrasena Poddiwala Hewage
Wald Confidence Intervals For A Single Poisson Parameter And Binomial Misclassification Parameter When The Data Is Subject To Misclassification, Nishantha Janith Chandrasena Poddiwala Hewage
Electronic Theses and Dissertations
This thesis is based on a Poisson model that uses both error-free data and error-prone data subject to misclassification in the form of false-negative and false-positive counts. We present maximum likelihood estimators (MLEs), Fisher's Information, and Wald statistics for Poisson rate parameter and the two misclassification parameters. Next, we invert the Wald statistics to get asymptotic confidence intervals for Poisson rate parameter and false-negative rate parameter. The coverage and width properties for various sample size and parameter configurations are studied via a simulation study. Finally, we apply the MLEs and confidence intervals to one real data set and another realistic …
Evaluation Of Using The Bootstrap Procedure To Estimate The Population Variance, Nghia Trong Nguyen
Evaluation Of Using The Bootstrap Procedure To Estimate The Population Variance, Nghia Trong Nguyen
Electronic Theses and Dissertations
The bootstrap procedure is widely used in nonparametric statistics to generate an empirical sampling distribution from a given sample data set for a statistic of interest. Generally, the results are good for location parameters such as population mean, median, and even for estimating a population correlation. However, the results for a population variance, which is a spread parameter, are not as good due to the resampling nature of the bootstrap method. Bootstrap samples are constructed using sampling with replacement; consequently, groups of observations with zero variance manifest in these samples. As a result, a bootstrap variance estimator will carry a …
Examination And Comparison Of The Performance Of Common Non-Parametric And Robust Regression Models, Gregory F. Malek
Examination And Comparison Of The Performance Of Common Non-Parametric And Robust Regression Models, Gregory F. Malek
Electronic Theses and Dissertations
ABSTRACT
Examination and Comparison of the Performance of Common Non-Parametric and Robust Regression Models
By
Gregory Frank Malek
Stephen F. Austin State University, Masters in Statistics Program,
Nacogdoches, Texas, U.S.A.
This work investigated common alternatives to the least-squares regression method in the presence of non-normally distributed errors. An initial literature review identified a variety of alternative methods, including Theil Regression, Wilcoxon Regression, Iteratively Re-Weighted Least Squares, Bounded-Influence Regression, and Bootstrapping methods. These methods were evaluated using a simple simulated example data set, as well as various real data sets, including math proficiency data, Belgian telephone call data, and faculty …