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101.
We develop testing procedures which detect if the observed time series is a martingale difference sequence. Furthermore, tests are developed that detect change–points in the conditional expectation of the series given its past. The test statistics are formulated following the approach of Fourier–type conditional expectations first proposed by Bierens (1982 Bierens, H. J. (1982). Consistent model speci?cation tests. J. Econometr. 20:105134.[Crossref], [Web of Science ®] [Google Scholar]) and have the advantage of computational simplicity. The limit behavior of the test statistics is investigated under the null hypothesis as well as under alternatives. Since the asymptotic null distribution contains unknown parameters, a bootstrap procedure is proposed in order to actually perform the test. The performance of the bootstrap version of the test is compared in finite samples with other methods for the same problem. A real–data application is also included.  相似文献   
102.
It is well known that many industrial experiments have split‐plot structures. Compared to completely randomised experiments, split‐plot designs are more economical and thus have received much attention among researchers. Much work has been done for two‐level split‐plot designs. In this article, we consider split‐plot designs with factors of three, more than three, or mixed levels and with both qualitative and quantitative factors. We show that if two designs with both qualitative and quantitative factors are geometrically isomorphic, then their generalised wordlength patterns are identical. Three design scenarios are considered for optimal designs. The corresponding wordlength patterns are defined and the minimum aberration mixed‐level split‐plot designs having 18 and 36 runs are tabulated.  相似文献   
103.
104.
Consider the standard treatment-control model with a time-to-event endpoint. We propose a novel interpretable test statistic from a quantile function point of view. The large sample consistency of our estimator is proven for fixed bandwidth values theoretically and validated empirically. A Monte Carlo simulation study also shows that given small sample sizes, utilization of a tuning parameter through the application of a smooth quantile function estimator shows an improvement in efficiency in terms of the MSE when compared to direct application of classic Kaplan–Meier survival function estimator. The procedure is finally illustrated via an application to epithelial ovarian cancer data.  相似文献   
105.
In this paper, a new generalization of alpha-skew-normal distribution is considered. Some properties of this distribution, which is denoted by GASN(α, λ), including moments, maximum likelihood estimation of parameters, and some other properties are studied. Finally, using a real data set, we show that our new distribution is the best-fitted distribution for the used data among normal, skew normal, alpha-skew-normal, and skew-bimodal-normal distributions.  相似文献   
106.
In this paper, we investigate the effect of a cold standby component on the mean residual life (MRL) of a system. When the system fails, a cold standby component is immediately put in operation. We particularly focus on the coherent systems in which, after putting the standby component into operation, the failure of the system is due to the next component failure. For these systems, we define MRL functions and obtain their explicit expressions. Also some stochastic ordering results are provided. Such systems include k-out-of-n systems. Hence, our results extend some results in literature.  相似文献   
107.
传统明瑟收入函数中收入取决于个人受教育程度、潜在市场工作经验和潜在市场工作经验平方项,其中受教育程度由受教育年限代表,不包含在校读书期间工作经验,然而,学生在毕业前往往能积累一定工作经验.因此,教育收益估计值包含了在校工作经验收益,导致教育收益估计值存在偏差.为了消除教育收益率估计偏差,使用哈尔滨市就业市场问卷调查数据,估算了两个收入方程——含在校工作经验变量的收入方程和不含有在校工作经验变量的收入方程.估算结果显示,后者较前者在教育投资回报系数上高出28%-44%(取决于对能力偏差的控制程度),这些结果表明传统明瑟收入函数过分夸大了个人受教育程度对收入的影响.  相似文献   
108.
Orthogonal fractional factorial designs and in particular orthogonal arrays (OAs) are frequently used in many fields of application, including medicine, engineering, and agriculture. In this article, we present a methodology and an algorithm to find an OA, of given size and strength, which satisfies the generalized minimum aberration criterion. The methodology is based on the joint use of polynomial counting functions, complex coding of levels, and algorithms for quadratic optimization and puts no restriction on the number of levels of each factor.  相似文献   
109.
In this article, a new form of multivariate slash distribution is introduced and some statistical properties are derived. In order to illustrate the advantage of this distribution over the existing generalized multivariate slash distribution in the literature, it is applied to a real data set.  相似文献   
110.
Theories about the bandwidth of kernel density estimation have been well established by many statisticians. However, the influence function of the bandwidth has not been well investigated. The influence function of the optimal bandwidth that minimizes the mean integrated square error is derived and the asymptotic property of the bandwidth selectors based on the influence function is provided.  相似文献   
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