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Statistical Theory Commons

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2013

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Articles 61 - 77 of 77

Full-Text Articles in Statistical Theory

The Length-Biased Versus Random Sampling For The Binomial And Poisson Events, Makarand V. Ratnaparkhi, Uttara V. Naik-Nimbalkar May 2013

The Length-Biased Versus Random Sampling For The Binomial And Poisson Events, Makarand V. Ratnaparkhi, Uttara V. Naik-Nimbalkar

Journal of Modern Applied Statistical Methods

The equivalence between the length-biased and the random sampling on a non-negative, discrete random variable is established. The length-biased versions of the binomial and Poisson distributions are discussed.


Improved Estimators In Finite Population Surveys: Theory And Applications, Sunil Kumar May 2013

Improved Estimators In Finite Population Surveys: Theory And Applications, Sunil Kumar

Journal of Modern Applied Statistical Methods

Improved estimators are proposed for estimating the population mean of the study variable y using auxiliary variable x in simple random sampling. Explicit expression for the bias and MSE of the proposed family are derived to the first order of approximation. The proposed estimators are compared with other estimators and theoretical findings are illustrated by two numerical examples.


An Approach For Dealing With Statuses Of Non-Statistically Significant Interactions Between Treatments, Zakaria M. Sawan May 2013

An Approach For Dealing With Statuses Of Non-Statistically Significant Interactions Between Treatments, Zakaria M. Sawan

Journal of Modern Applied Statistical Methods

A field experiment on cotton yield resulted in a non-statistically significant interaction. An approach for follow-up examination between treatments based on least significant difference values was suggested to identify the effect regardless of insignificance. It was found that the classical formula used in calculating the significance of interactions suffers a possible shortage that can be eliminated by applying a suggested revision.


Conceptual Distinction Between The Critical P Value And The Type I Error Rate In Permutation Testing, Richard B. Anderson May 2013

Conceptual Distinction Between The Critical P Value And The Type I Error Rate In Permutation Testing, Richard B. Anderson

Journal of Modern Applied Statistical Methods

To counter past assertions that permutation testing is not distribution-free, this article clarifies that the critical p value (alpha) in permutation testing is not a Type I error rate and that a test's validity is independent of the concept of Type I error.


A Response To Anderson's (2013) Conceptual Distinction Between The Critical P Value And Type I Error Rate In Permutation Testing, Fortunato Pesarin, Stefano Bonnini May 2013

A Response To Anderson's (2013) Conceptual Distinction Between The Critical P Value And Type I Error Rate In Permutation Testing, Fortunato Pesarin, Stefano Bonnini

Journal of Modern Applied Statistical Methods

Pesarin and Bonnini respond to Anderson's (2013) Conceptual Distinction between the Critical p value and Type I Error Rate in Permutation Testing


A Monte Carlo Simulation Of The Robust Rank-Order Test Under Various Population Symmetry Conditions, William T. Mickelson May 2013

A Monte Carlo Simulation Of The Robust Rank-Order Test Under Various Population Symmetry Conditions, William T. Mickelson

Journal of Modern Applied Statistical Methods

The Type I Error Rate of the Robust Rank Order test under various population symmetry conditions is explored through Monte Carlo simulation. Findings indicate the test has difficulty controlling Type I error under generalized Behrens-Fisher conditions for moderately sized samples.


Constructing A More Powerful Test In Two-Level Block Randomized Designs, Spyros Konstantopoulos May 2013

Constructing A More Powerful Test In Two-Level Block Randomized Designs, Spyros Konstantopoulos

Journal of Modern Applied Statistical Methods

A more powerful test is proposed for the treatment effect in two-level block randomized designs where random assignment takes place at the first level. When clustering at the second level is assumed to be known, the proposed test produces higher estimates of power than the typical test.


Bayesian Inference Of Pair-Copula Constriction For Multivariate Dependency Modeling Of Iran’S Macroeconomic Variables, M. R. Zadkarami, O. Chatrabgoun May 2013

Bayesian Inference Of Pair-Copula Constriction For Multivariate Dependency Modeling Of Iran’S Macroeconomic Variables, M. R. Zadkarami, O. Chatrabgoun

Journal of Modern Applied Statistical Methods

Bayesian inference of pair-copula constriction (PCC) is used for multivariate dependency modeling of Iran’s macroeconomics variables: oil revenue, economic growth, total consumption and investment. These constructions are based on bivariate t-copulas as building blocks and can model the nature of extreme events in bivariate margins individually. The model parameter was estimated based on Markov chain Monte Carlo (MCMC) methods. A MCMC algorithm reveals unconditional as well as conditional independence in Iran’s macroeconomic variables, which can simplify resulting PCC’s for these data.


Using The Bootstrap For Estimating The Sample Size In Statistical Experiments, Maher Qumsiyeh May 2013

Using The Bootstrap For Estimating The Sample Size In Statistical Experiments, Maher Qumsiyeh

Journal of Modern Applied Statistical Methods

Efron’s (1979) Bootstrap has been shown to be an effective method for statistical estimation and testing. It provides better estimates than normal approximations for studentized means, least square estimates and many other statistics of interest. It can be used to select the active factors - factors that have an effect on the response - in experimental designs. This article shows that the bootstrap can be used to determine sample size or the number of runs required to achieve a certain confidence level in statistical experiments.


The X-Alter Algorithm: A Parameter-Free Method Of Unsupervised Clustering, Thomas Laloë, Rémi Servien May 2013

The X-Alter Algorithm: A Parameter-Free Method Of Unsupervised Clustering, Thomas Laloë, Rémi Servien

Journal of Modern Applied Statistical Methods

Using quantization techniques, Laloë (2010) defined a new clustering algorithm called Alter. This L1-based algorithm is shown to be convergent but suffers two major flaws. The number of clusters, K, must be supplied by the user and the computational cost is high. This article adapts the X-means algorithm (Pelleg & Moore, 2000) to solve both problems.


Estimating Heterogeneous Intra-Class Correlation Coefficients In Dyadic Ecological Momentary Assessment, Emily A. Blood, Leslie A. Kalish, Lydia A. Shrier May 2013

Estimating Heterogeneous Intra-Class Correlation Coefficients In Dyadic Ecological Momentary Assessment, Emily A. Blood, Leslie A. Kalish, Lydia A. Shrier

Journal of Modern Applied Statistical Methods

A method is described for estimating and testing predictors for influence on the variance of momentary behaviors in dyadic ecological momentary assessment data. Results show that the method allows intraclass correlations of momentary observations from two members of the same couple to vary by observation-level, individual-level and couple-level predictors.


Jmasm 32: Multiple Imputation Of Missing Multilevel, Longitudinal Data: A Case When Practical Considerations Trump Best Practices?, Jennifer E. V. Lloyd, Jelena Obradović, Richard M. Carpiano, Frosso Motti-Stefanidi May 2013

Jmasm 32: Multiple Imputation Of Missing Multilevel, Longitudinal Data: A Case When Practical Considerations Trump Best Practices?, Jennifer E. V. Lloyd, Jelena Obradović, Richard M. Carpiano, Frosso Motti-Stefanidi

Journal of Modern Applied Statistical Methods

A pedagogical tool is presented for applied researchers dealing with incomplete multilevel, longitudinal data. It explains why such data pose special challenges regarding missingness. Syntax created to perform a multiply-imputed growth modeling procedure in Stata Version 11 (StataCorp, 2009) is also described.


Bootstrap Interval Estimation Of Reliability Via Coefficient Omega, Miguel A. Padilla, Jasmin Divers May 2013

Bootstrap Interval Estimation Of Reliability Via Coefficient Omega, Miguel A. Padilla, Jasmin Divers

Journal of Modern Applied Statistical Methods

Three different bootstrap confidence intervals (CIs) for coefficient omega were investigated. The CIs were assessed through a simulation study with conditions not previously investigated. All methods performed well; however, the normal theory bootstrap (NTB) CI had the best performance because it had more consistent acceptable coverage under the simulation conditions investigated.


Fitting Proportional Odds Models To Educational Data With Complex Sampling Designs In Ordinal Logistic Regression, Xing Liu, Hari Koirala May 2013

Fitting Proportional Odds Models To Educational Data With Complex Sampling Designs In Ordinal Logistic Regression, Xing Liu, Hari Koirala

Journal of Modern Applied Statistical Methods

The conventional proportional odds (PO) model assumes that data are collected using simple random sampling by which each sampling unit has the equal probability of being selected from a population. However, when complex survey sampling designs are used, such as stratified sampling, clustered sampling or unequal selection probabilities, it is inappropriate to conduct ordinal logistic regression analyses without taking sampling design into account. Failing to do so may lead to biased estimates of parameters and incorrect corresponding variances. This study illustrates the use of PO models with complex survey data to predict mathematics proficiency levels using Stata and compare the …


A Method For Generating Realistic Correlation Matrices, Johanna S. Hardin, Stephan Ramon Garcia, David Golan Jan 2013

A Method For Generating Realistic Correlation Matrices, Johanna S. Hardin, Stephan Ramon Garcia, David Golan

Pomona Faculty Publications and Research

Simulating sample correlation matrices is important in many areas of statistics. Approaches such as generating Gaussian data and finding their sample correlation matrix or generating random uniform $[-1,1]$ deviates as pairwise correlations both have drawbacks. We develop an algorithm for adding noise, in a highly controlled manner, to general correlation matrices. In many instances, our method yields results which are superior to those obtained by simply simulating Gaussian data. Moreover, we demonstrate how our general algorithm can be tailored to a number of different correlation models. Using our results with a few different applications, we show that simulating correlation matrices …


Analysis Of Spatial Data, Xiang Zhang Jan 2013

Analysis Of Spatial Data, Xiang Zhang

Theses and Dissertations--Statistics

In many areas of the agriculture, biological, physical and social sciences, spatial lattice data are becoming increasingly common. In addition, a large amount of lattice data shows not only visible spatial pattern but also temporal pattern (see, Zhu et al. 2005). An interesting problem is to develop a model to systematically model the relationship between the response variable and possible explanatory variable, while accounting for space and time effect simultaneously.

Spatial-temporal linear model and the corresponding likelihood-based statistical inference are important tools for the analysis of spatial-temporal lattice data. We propose a general asymptotic framework for spatial-temporal linear models and …


Correlation Coefficient Of Interval Neutrosophic Set, Said Broumi, Florentin Smarandache Jan 2013

Correlation Coefficient Of Interval Neutrosophic Set, Said Broumi, Florentin Smarandache

Branch Mathematics and Statistics Faculty and Staff Publications

In this paper we introduce for the first time the concept of correlation coefficients of interval valued neutrosophic set (INS for short). Respective numerical examples are presented.