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Wayne State University

2013

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Articles 31 - 60 of 241

Full-Text Articles in Social and Behavioral Sciences

Intrinsically Ties Adjusted Non-Parametric Method For The Analysis Of Two Sampled Data, G. U. Ebuh, I. C. A Oyeka Nov 2013

Intrinsically Ties Adjusted Non-Parametric Method For The Analysis Of Two Sampled Data, G. U. Ebuh, I. C. A Oyeka

Journal of Modern Applied Statistical Methods

A non-parametric method for the analysis of two sample data is proposed that intrinsically and structurally adjusts the test statistic for the possible presence of tied observations between the sampled populations, thereby obviating the need to require the populations to be continuous. The populations may be measurements on as low as the ordinal scale, and need not be homogeneous. In cases where the null hypotheses are rejected, the test statistic enables the determination of which of the sampled populations is likely to be responsible for the rejection (a determination which the Wilcoxon Mann Whitney test cannot handle). The proposed method …


Case-Control Studies With Jointly Misclassified Exposure And Confounding Variables, Tze-San Lee Nov 2013

Case-Control Studies With Jointly Misclassified Exposure And Confounding Variables, Tze-San Lee

Journal of Modern Applied Statistical Methods

The issue of 2 × 2 × 2 case-control studies is addressed when both exposure and confounding variables are jointly misclassified. Two scenarios are considered: the classification errors of exposure and confounding variables are independent or not independent. The bias-adjusted cell probability estimates which account for the misclassification bias are presented. The effect of misclassification on the measure of crude odds ratio either unstratified or stratified by the confounder, Mantel-Haenszel summary odds ratio, the confounding component in the crude odds ratio, the first and second order multiplicative interaction are assessed through the sensitivity analysis from using the data on the …


How Good Is Best? Multivariate Case Of Ehrenberg-Weisberg Analysis Of Residual Errors In Competing Regressions, Stan Lipovetsky Nov 2013

How Good Is Best? Multivariate Case Of Ehrenberg-Weisberg Analysis Of Residual Errors In Competing Regressions, Stan Lipovetsky

Journal of Modern Applied Statistical Methods

A.S.C. Ehrenberg first noticed and S. Weisberg then formalized a property of pairwise regression to keep its quality almost at the same level of precision while the coefficients of the model could vary over a wide span of values. This paper generalizes the estimates of the percent change in the residual standard deviation to the case of competing multiple regressions. It shows that in contrast to the simple pairwise model, the coefficients of multiple regression can be changed over a wider range of the values including the opposite by signs coefficients. Consideration of these features facilitates better understanding the properties …


Constructing Confidence Intervals For Effect Sizes In Anova Designs, Li-Ting Chen, Chao-Ying Joanne Peng Nov 2013

Constructing Confidence Intervals For Effect Sizes In Anova Designs, Li-Ting Chen, Chao-Ying Joanne Peng

Journal of Modern Applied Statistical Methods

A confidence interval for effect sizes provides a range of plausible population effect sizes (ES) that are consistent with data. This article defines an ES as a standardized linear contrast of means. The noncentral method, Bonett’s method, and the bias-corrected and accelerated bootstrap method are illustrated for constructing the confidence interval for such an effect size. Results obtained from the three methods are discussed and interpretations of results are offered.


A Monte Carlo Comparison Of Robust Manova Test Statistics, Holmes Finch, Brian French Nov 2013

A Monte Carlo Comparison Of Robust Manova Test Statistics, Holmes Finch, Brian French

Journal of Modern Applied Statistical Methods

Multivariate Analysis of Variance (MANOVA) is a popular statistical tool in the social sciences, allowing for the comparison of mean vectors across groups. MANOVA rests on three primary assumptions regarding the population: (a) multivariate normality, (b) equality of group population covariance matrices and (c) independence of errors. When these assumptions are violated, MANOVA does not perform well with respect to Type I error and power. There are several alternative test statistics that can be considered including robust statistics and the use of the structural equation modeling (SEM) framework. This simulation study focused on comparing the performance of the P test …


Test For Intraclass Correlation Coefficient Under Unequal Family Sizes, Madhusudan Bhandary, Koji Fujiwara Nov 2013

Test For Intraclass Correlation Coefficient Under Unequal Family Sizes, Madhusudan Bhandary, Koji Fujiwara

Journal of Modern Applied Statistical Methods

Three tests are proposed based on F-distribution, Likelihood Ratio Test (LRT) and large sample Z-test for intraclass correlation coefficient under unequal family sizes based on a single multinormal sample. It has been found that the test based on F-distribution consistently and reliably produces results superior to those of Likelihood Ratio Test (LRT) and large sample Z-test in terms of size for various combinations of intraclass correlation coefficient values. The power of this test based on F-distribution is competitive with the power of the LRT and the power of Z-test is slightly better than the powers of F-test and LRT when …


Generalized Modified Ratio Estimator For Estimation Of Finite Population Mean, Jambulingam Subramani Nov 2013

Generalized Modified Ratio Estimator For Estimation Of Finite Population Mean, Jambulingam Subramani

Journal of Modern Applied Statistical Methods

A generalized modified ratio estimator is proposed for estimating the population mean using the known population parameters. It is shown that the simple random sampling without replacement sample mean, the usual ratio estimator, the linear regression estimator and all the existing modified ratio estimators are the particular cases of the proposed estimator. The bias and the mean squared error of the proposed estimator are derived and are compared with that of existing estimators. The conditions for which the proposed estimator performs better than the existing estimators are also derived. The performance of the proposed estimator is assessed with that of …


Discriminating Between Generalized Exponential Distribution And Some Life Test Models Based On Population Quantiles, B. Srinivasa Rao, R. R. L Kantam Nov 2013

Discriminating Between Generalized Exponential Distribution And Some Life Test Models Based On Population Quantiles, B. Srinivasa Rao, R. R. L Kantam

Journal of Modern Applied Statistical Methods

A test statistic based on population quantiles using sample order statistics is suggested. The quantiles of the test statistics are evaluated for generalized exponential distribution. Similar test statistic based on moments of sample order statistic is referred and the proposed test formula is compared with it. Between the pairs of the above models it is established that the test formula proposed by us is more effective and useful than the formula based on the moments of order statistics as developed by Sultan (2007).


Comparison Of Parameters Of Lognormal Distribution Based On The Classical And Posterior Estimates, Raja Sultan, S. P. Ahmad Nov 2013

Comparison Of Parameters Of Lognormal Distribution Based On The Classical And Posterior Estimates, Raja Sultan, S. P. Ahmad

Journal of Modern Applied Statistical Methods

Lognormal distribution is widely used in scientific field, such as agricultural, entomological, biology etc. If a variable can be thought as the multiplicative product of some positive independent random variables, then it could be modelled as lognormal. In this study, maximum likelihood estimates and posterior estimates of the parameters of lognormal distribution are obtained and using these estimates we calculate the point estimates of mean and variance for making comparisons.


On Bayesian Estimation And Predictions For Two-Component Mixture Of The Gompertz Distribution, Navid Feroze, Muhammad Aslam Nov 2013

On Bayesian Estimation And Predictions For Two-Component Mixture Of The Gompertz Distribution, Navid Feroze, Muhammad Aslam

Journal of Modern Applied Statistical Methods

Mixtures models have received sizeable attention from analysts in the recent years. Some work on Bayesian estimation of the parameters of mixture models have appeared. However, the were restricted to the Bayes point estimation The methodology for the Bayesian interval estimation of the parameters for said models is still to be explored. This paper proposes the posterior interval estimation (along with point estimation) for the parameters of a two-component mixture of the Gompertz distribution. The posterior predictive intervals are also derived and evaluated. Different informative and non-informative priors are assumed under a couple of loss functions for the posterior analysis. …


A Comparison Between Biased And Unbiased Estimators In Ordinary Least Squares Regression, Ghadban Khalaf Nov 2013

A Comparison Between Biased And Unbiased Estimators In Ordinary Least Squares Regression, Ghadban Khalaf

Journal of Modern Applied Statistical Methods

During the past years, different kinds of estimators have been proposed as alternatives to the Ordinary Least Squares (OLS) estimator for the estimation of the regression coefficients in the presence of multicollinearity. In the general linear regression model, Y = Xβ + e, it is known that multicollinearity makes statistical inference difficult and may even seriously distort the inference. Ridge regression, as viewed here, defines a class of estimators of β indexed by a scalar parameter k. Two methods of specifying k are proposed and evaluated in terms of Mean Square Error (MSE) by …


Parameter Estimations Based On Kumaraswamy Progressive Type Ii Censored Data With Random Removals, Navid Feroze, Ibrahim El-Batal Nov 2013

Parameter Estimations Based On Kumaraswamy Progressive Type Ii Censored Data With Random Removals, Navid Feroze, Ibrahim El-Batal

Journal of Modern Applied Statistical Methods

The estimation of two parameters of the Kumaraswamy distribution is considered under Type II progressive censoring with random removals, where the number of units removed at each failure time has a binomial distribution. The MLE was used to obtain the estimators of the unknown parameters, and the asymptotic variance - covariance matrix was also obtained. The formula to compute the expected test time was derived. A numerical study was carried out for different combinations of model parameters. Different censoring schemes were used for the estimation, and performance of these schemes was compared.


The Single-Case Data Analysis Package: Analysing Single-Case Experiments With R Software, Isis Bulté, Patrick Onghena Nov 2013

The Single-Case Data Analysis Package: Analysing Single-Case Experiments With R Software, Isis Bulté, Patrick Onghena

Journal of Modern Applied Statistical Methods

The RcmdrPlugin.SCDA plug-in package is discussed. It integrates three R packages in the R commander interface: SCVA (for Single-Case Visual Analysis), SCRT (for Single-Case Randomization Tests), and SCMA (for Single-Case Meta-Analysis). This way the plug-in package covers three important steps in the analysis of single-case data.


Op Ed: Random Ramblings - How Special Are Special Collections?, Robert P. Holley Nov 2013

Op Ed: Random Ramblings - How Special Are Special Collections?, Robert P. Holley

School of Information Sciences Faculty Research Publications

No abstract provided.


Comparison Of Three Calculation Methods For A Bayesian Inference Of P(Π1 > Π2), Yohei Kawasaki, Asanao Shimokawa, Etsuo Miyaoka Nov 2013

Comparison Of Three Calculation Methods For A Bayesian Inference Of P(Π1 > Π2), Yohei Kawasaki, Asanao Shimokawa, Etsuo Miyaoka

Journal of Modern Applied Statistical Methods

In Bayesian inference, some researchers have examined the difference of binominal proportions using θ = P(π1 > π2 − Δ0|X1,X2), where Xi denote binomial random variable with parameter πi. An approximate method and the MCMC method are compared with an exact method for θ, and results of actual clinical trials using θ are presented.


Bayesian Joinpoint Regression Model For Childhood Brain Cancer Mortality, Ram C. Kafle, Netra Khanal, Chris P. Tsokos Nov 2013

Bayesian Joinpoint Regression Model For Childhood Brain Cancer Mortality, Ram C. Kafle, Netra Khanal, Chris P. Tsokos

Journal of Modern Applied Statistical Methods

The Bayesian approach of joinpoint regression is widely used to analyze trends in cancer mortality, incidence and survival data. The Bayesian joinpoint regression model was used to study the childhood brain cancer mortality rate and its average percentage change (APC) per year. Annual observed mortality counts of children ages 0-19 from 1969-2009 obtained from Surveillance Epidemiology and End Results (SEER) database of National Cancer Institute (NCI) were analyzed. It was assumed that death counts are probabilistically characterized by the Poisson distribution and they were modeled using log link function. Results were compared with the mortality trend obtained using joinpoint software …


On Some Properties Of A Heterogeneous Transfer Function Involving Symmetric Saturated Linear (Satlins) With Hyperbolic Tangent (Tanh) Transfer Functions, Christopher Godwin Udomboso Nov 2013

On Some Properties Of A Heterogeneous Transfer Function Involving Symmetric Saturated Linear (Satlins) With Hyperbolic Tangent (Tanh) Transfer Functions, Christopher Godwin Udomboso

Journal of Modern Applied Statistical Methods

For transfer functions to map the input layer of the statistical neural network model to the output layer perfectly, they must lie within bounds that characterize probability distributions. The heterogeneous transfer function, SATLINS_TANH, is established as a Probability Distribution Function (p.d.f), and its mean and variance are shown.


Distribution Of The Ratio Of Normal And Rice Random Variables, Nayereh B. Khoolenjani, Kavoos Khorshidian Nov 2013

Distribution Of The Ratio Of Normal And Rice Random Variables, Nayereh B. Khoolenjani, Kavoos Khorshidian

Journal of Modern Applied Statistical Methods

The ratio of independent random variables arises in many applied problems. The distribution of the ratio |X/Y| is studied when X and Y are independent Normal and Rice random variables, respectively. Ratios of such random variables have extensive applications in the analysis of noises in communication systems. The exact forms of probability density function (PDF), cumulative distribution function (CDF) and the existing moments are derived in terms of several special functions. As a special case, the PDF and CDF of the ratio of independent standard Normal and Rayleigh random variables have been obtained. Tabulations of associated percentage points …


Robust Regression Estimators When There Are Tied Values, Rand R. Wilcox, Florence Clark Nov 2013

Robust Regression Estimators When There Are Tied Values, Rand R. Wilcox, Florence Clark

Journal of Modern Applied Statistical Methods

It is well known that when using the ordinary least squares regression estimator, outliers among the dependent variable can result in relatively poor power. Many robust regression estimators have been derived that address this problem, but the bulk of the results assume that the dependent variable is continuous. It is demonstrated that when there are tied values, several robust regression estimators can perform poorly in terms of controlling the Type I error probability, even with a large sample size. The presence of tied values does not necessarily mean that they perform poorly, but there is the issue of whether there …


A Generalized Class Of Estimators For Finite Population Variance In Presence Of Measurement Errors, Prayas Sharma, Rajesh Singh Nov 2013

A Generalized Class Of Estimators For Finite Population Variance In Presence Of Measurement Errors, Prayas Sharma, Rajesh Singh

Journal of Modern Applied Statistical Methods

The problem of estimating the population variance is presented using auxiliary information in the presence of measurement errors. The estimators in this article use auxiliary information to improve efficiency and assume that measurement error is present both in study and auxiliary variable. A numerical study is carried out to compare the performance of the proposed estimator with other estimators and the variance per unit estimator in the presence of measurement errors.


Testing The Assumption Of Non-Differential Misclassification In Case-Control Studies, Tze-San Lee, Qin Hui Nov 2013

Testing The Assumption Of Non-Differential Misclassification In Case-Control Studies, Tze-San Lee, Qin Hui

Journal of Modern Applied Statistical Methods

One of the not yet solved issues regarding the misclassification in case-control studies is whether the misclassification rates are the same for both cases and controls. Currently, a common practice is to assume that the rates are the same, that is, the non-differential misclassification assumption. However, it has been suspected that this assumption may not be valid in practical applications. Unfortunately, no test is available so far to test the validity of the non-differential misclassification assumption. A method is presented to test the validity of non-differential misclassification assumption in case-control studies with 2 × 2 tables when validation data are …


Akaike Information Criterion To Select The Parametric Detection Function For Kernel Estimator Using Line Transect Data, Omar Eidous, Samar Al-Salman Nov 2013

Akaike Information Criterion To Select The Parametric Detection Function For Kernel Estimator Using Line Transect Data, Omar Eidous, Samar Al-Salman

Journal of Modern Applied Statistical Methods

Among different candidate parametric detection functions, it is suggested to use Akaike Information Criterion (AIC) to select the most appropriate one of them to fit line transect data. Four different detection functions are considered in this paper. Two of them are taken to satisfy the shoulder condition assumption and the other two estimators do not satisfy this condition. Once the appropriate detection function is determined, it also can be used to select the smoothing parameter of the nonparametric kernel estimator. For a wide range of target densities, a simulation results show the reasonable and good performances of the …


Ordered Logit Regression Modeling Of The Self-Rated Health In Hawai‘I, With Comparisons To The Ols Model, Hosik Min Nov 2013

Ordered Logit Regression Modeling Of The Self-Rated Health In Hawai‘I, With Comparisons To The Ols Model, Hosik Min

Journal of Modern Applied Statistical Methods

Despite the ordinal nature of Self-Rated Health (SRH) variable, logistic regression models or regression models have been used without adequate justification for these applications. It is shown that ordered-logit regression model is the appropriate statistical strategy to estimate SRH, whereas the Ordinary LeastSquares model leads to biased conclusions.


On Comparison Of Exponential And Hyperbolic Exponential Growth Models In Height/Diameter Increment Of Pines (Pinus Caribaea), S. O. Oyamakin, A. U. Chukwu, T. A. Bamiduro Nov 2013

On Comparison Of Exponential And Hyperbolic Exponential Growth Models In Height/Diameter Increment Of Pines (Pinus Caribaea), S. O. Oyamakin, A. U. Chukwu, T. A. Bamiduro

Journal of Modern Applied Statistical Methods

A new tree growth model called the hyperbolic exponential nonlinear growth model is suggested. Its ability in model prediction was compared with the Malthus or exponential growth model an approach which mimicked the natural variability of heights/diameter increment with respect to age and therefore provides more realistic height/diameter predictions as demonstrated by the results of the Kolmogorov Smirnov test and Shapiro-Wilk test. The mean function of top height/Dbh over age using the two models under study predicted closely the observed values of top height/Dbh in the Hyperbolic exponential nonlinear growth models better than the ordinary exponential growth model without violating …


Approximation Multivariate Distribution Of Main Indices Of Tehran Stock Exchange With Pair-Copula, G. Parham, A. Daneshkhah, O. Chatrabgoun Nov 2013

Approximation Multivariate Distribution Of Main Indices Of Tehran Stock Exchange With Pair-Copula, G. Parham, A. Daneshkhah, O. Chatrabgoun

Journal of Modern Applied Statistical Methods

The multivariate distribution of five main indices of Tehran stock exchange is approximated using a pair-copula model. A vine graphical model is used to produce an n-dimensional copula. This is accomplished using a flexible copula called a minimum information (MI) copula as a part of pair-copula construction. Obtained results show that the achieved model has a good level of approximation.


Vol. 12, No. 2 (Full Issue), Jmasm Editors Nov 2013

Vol. 12, No. 2 (Full Issue), Jmasm Editors

Journal of Modern Applied Statistical Methods

No abstract provided.


5 Tips For Getting Started With Open Access Publishing, Joshua Neds-Fox Oct 2013

5 Tips For Getting Started With Open Access Publishing, Joshua Neds-Fox

Open Access Week

You've considered participating in open access, but the tradeoffs involved in making your publications open access often don't seem worth the cost. It doesn't have to be that way. Join us for a quick walkthrough of strategies for participating in open access publishing without having to feel like a radical.


Building A Scholarly Communications Brand: The Scholars Cooperative At Wayne State University, Michael Priehs Oct 2013

Building A Scholarly Communications Brand: The Scholars Cooperative At Wayne State University, Michael Priehs

Library Scholarly Publications

In the past year, our library system has placed an emphasis on developing our scholarly communications and digital publishing initiatives. With new librarians with extensive responsibilities in these areas, our team of scholarly communication and digital publishing librarians at Wayne State University has been working towards identifying and rebranding our suite of scholarly communications and publishing services, which we now call The Scholars Cooperative. The Scholars Cooperative aids, educates and empowers the campus community to advance the creation, distribution and preservation of scholarship beyond traditional academic publishing models. We will share the cooperatives’ vision, planning process, organizational structure, and services …


Syncing Omeka With Fedora Commons, Cole Hudson Oct 2013

Syncing Omeka With Fedora Commons, Cole Hudson

Library Scholarly Publications

This presentation is a lightning talk which covered the process in which users can batch upload content from a Fedora Commons repository over to Omeka and keep content between the two systems in sync. Code referenced was developed by Cole Hudson and Graham Hukill and can be found on Github.


A Social Worker's Report From The United Nations Conference On Sustainable Development (Rio+20), Richard J. Smith Oct 2013

A Social Worker's Report From The United Nations Conference On Sustainable Development (Rio+20), Richard J. Smith

Social Work Faculty Publications

In June 2012, heads of state convened to finalize a policy framework on sustainable development called “The Future We Want” at the United Nations Conference on Sustainable Development in Rio de Janeiro (Rio+20). To date, this is the largest United Nations gathering ever held with over 12,000 government officials and over 10,000 representatives of major groups (United Nations Department of Public Information, 2012). The two main themes of the conference were a) “a green economy in the context of sustainable development and poverty eradication and 2) the institutional framework for sustainable development”(United Nations, 2011a). The conference attendees presented ways to …