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相关论文: Monotonicity in the Sample Size of the Length of C…

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A key feature of a sequential study is that the actual sample size is a random variable that typically depends on the outcomes collected. While hypothesis testing theory for sequential designs is well established, parameter and precision…

统计理论 · 数学 2017-12-21 Ben Berckmoes , Geert Molenberghs

In this paper we investigate the monotonicity properties related to the ratio of gamma functions, from which some related asymptotics and inequalities are established. Some special cases also confirm the conjectures of C.-P. Chen…

经典分析与常微分方程 · 数学 2021-04-06 Nian Hong Zhou , Da-Wei Niu

Plotting a learner's average performance against the number of training samples results in a learning curve. Studying such curves on one or more data sets is a way to get to a better understanding of the generalization properties of this…

机器学习 · 计算机科学 2020-03-16 Marco Loog , Tom Viering , Alexander Mey

In the paper, necessary and sufficient conditions are presented for a function involving a ratio of gamma functions to be logarithmically completely monotonic. This extends and generalizes the main result in [\emph{Inequalities and…

经典分析与常微分方程 · 数学 2012-08-21 Feng Qi , Bai-Ni Guo

For real $a>0$, let $X_a$ denote a random variable with the gamma distribution with parameters $a$ and $1$. Then $\mathsf P(X_a-a>c)$ is increasing in $a$ for each real $c\ge0$; non-increasing in $a$ for each real $c\le-1/3$; and…

概率论 · 数学 2020-12-29 Iosif Pinelis

Two new test statistics are introduced to test the null hypotheses that the sampling distribution has an increasing hazard rate on a specified interval [0,a]. These statistics are empirical L_1-type distances between the isotonic estimates,…

统计理论 · 数学 2015-03-17 Piet Groeneboom , Geurt Jongbloed

Confidence intervals are assessed according to two criteria, namely expected length and coverage probability. In an attempt to apply the decision-theoretic method to finding a good confidence interval, a loss function that is a linear…

统计理论 · 数学 2017-10-18 Paul Kabaila

This paper studies large sample properties of a Bayesian approach to inference about slope parameters $\gamma$ in linear regression models with a structural break. In contrast to the conventional approach to inference about $\gamma$ that…

计量经济学 · 经济学 2023-08-15 Kenichi Shimizu

Available in the literature are properties which characterize the gamma distribution via independence of two appropriately chosen statistics. Well-known is the classical result when one of the statistics is the sample mean and the other one…

概率论 · 数学 2022-07-26 Gwo Dong Lin , Jordan M. Stoyanov

In this paper, we investigate the complete monotonicity of some functions involving gamma function. Using the monotonic properties of these functions, we derived some inequalities involving gamma and beta functions. Such inequalities…

经典分析与常微分方程 · 数学 2017-06-08 M. Al-Jararha

While many statistical procedures rely on a fixed sample size, sequential methods allow a decision-maker to adapt the sample size to achieve a given precision. In this way, sequential tests reduce the average number of observations required…

统计理论 · 数学 2026-03-03 Henri Doerks , Erik Ekström , Yuqiong Wang

A reasonable confidence interval should have a confidence coefficient no less than the given nominal level and a small expected length to reliably and accurately estimate the parameter of interest, and the bootstrap interval is considered…

统计理论 · 数学 2024-02-15 Weizhen Wang , Chongxiu Yu , Zhongzhan Zhang

Portnoy (2019) considered the problem of constructing an optimal confidence interval for the mean based on a single observation $\, X \sim {\cal{N}}(\mu , \, \sigma^2) \,$. Here we extend this result to obtaining 1-sample confidence…

统计理论 · 数学 2022-02-09 Stephen Portnoy , Anirban DasGupta

Suppose that a target function is monotonic, namely, weakly increasing, and an available original estimate of this target function is not weakly increasing. Rearrangements, univariate and multivariate, transform the original estimate to a…

统计理论 · 数学 2018-01-08 Victor Chernozhukov , Ivan Fernandez-Val , Alfred Galichon

The asymptotic solution to the problem of comparing the means of two heteroscedastic populations, based on two random samples from the populations, hinges on the pivot underpinning the construction of the confidence interval and the test…

统计理论 · 数学 2017-10-30 Rajeshwari Majumdar , Suman Majumdar

We obtain a recurrence relation in $d$ for the average singular value $% \alpha (d)$ of a complex valued $d\times d$\ matrix $\frac{1}{\sqrt{d}}X$ with random i.i.d., N( 0,1) entries, and use it to show that $\alpha (d)$ decreases…

概率论 · 数学 2023-03-08 Luís Daniel Abreu

The generalized Marcum functions $Q_{\mu}(x,y)$ and $P_{\mu}(x,y)$ have as particular cases the non-central $\chi^2$ and gamma cumulative distributions, which become central distributions (incomplete gamma function ratios) when the…

经典分析与常微分方程 · 数学 2014-06-25 J. Segura

The possibility of construction of continuous analogue of Poisson distribution with the search of bounds of confidence intervals for parameter of Poisson distribution is discussed. Also, in the article is shown that the true value of a…

数据分析、统计与概率 · 物理学 2007-05-23 S. I. Bityukov , N. V. Krasnikov , V. A. Taperechkina

Several proofs of the monotonicity of the non-Gaussianness (divergence with respect to a Gaussian random variable with identical second order statistics) of the sum of n independent and identically distributed (i.i.d.) random variables were…

信息论 · 计算机科学 2007-07-13 Jacob Binia

A fundamental assumption of classical hypothesis testing is that the significance threshold $\alpha$ is chosen independently from the data. The validity of confidence intervals likewise relies on choosing $\alpha$ beforehand. We point out…

应用统计 · 统计学 2025-03-11 Jesse Hemerik , Nick W Koning
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