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1.
??Auxiliary population information is often available in finite population inference problems, and the empirical likelihood (EL) approach has been demonstrated to be flexible and useful for such problems. The present paper concerns EL when interest centers on inference for the mean of the baseline distribution under two-sample density ratio models. Although dual EL is a convenient technical tool since it has the same maximum point and maximum likelihood as DRM-based EL, it can not combine such auxiliary information into the likelihood conveniently and may have loss of efficiency. By contrast, the classical EL approach of Qin and Lawless\ucite{21} does not have this problem and incorporate seamlessly auxiliary information. Based on the EL using auxiliary information and the dual EL methods, we construct both point and interval estimations and make a careful comparison. Though the point estimation efficiency gain obtained by the former is not noticeable, we find that they may have different performances in interval estimation. In terms of coverage accuracy, the two intervals are comparable for not or moderate skewed populations, and the EL interval using auxiliary information can be much superior for severely skewed populations.  相似文献   

2.
本文综述混合效应模型参数估计方面的若干新进展. 平衡混合效应方差分析模型的协方差阵具有一定结构. 对这类模型, 文献[1]提出了参数估计的一种新方法, 称为谱分解法. 新方法的突出特点是, 能同时给出固定效应和方差分量的估计, 前者是线性的, 后者是二次的,且相互独立. 而后, 文献[2--9]证明了谱分解估计的进一步的统计性质, 同时给出了协方差阵对应的估计, 它不仅是正定阵, 而且可获得它的风险函数, 这些文献还研究了谱分解估计与方差分析估计, 极大似然估计, 限制极大似然估计以及最小范数二次无偏估计的关系. 本文综述这一方向的部分研究成果, 并提出一些待进一步研究的问题.  相似文献   

3.
At present, in degradation tests, product failure is generally defined as degradation of performance below or above a specified critical value (that is called single point degradation). Although this definition is simple and practical, it is not reasonable enough and degradation failure of the product can not be completely described. In this paper, a single point degradation model is improved, and an interval degeneration model is proposed. We discuss the interval degradation model when the degradation path is liner, and obtain life distribution functions for all kinds of linear interval degradation model. Numerical integration and Monte Carlo simulation methods are used to analyze and compare the life distribution of the interval degradation model and the single point degradation model, and the relationship between the interval degradation and the single point degradation is revealed. Finally, an real data example is analysis to show that interval egradation is more reasonable and effective in practice.  相似文献   

4.
??Let {X_n;\,n\ge1} be a sequence of strictly stationary \rho-mixing random variables with zero mean and finite variance. Using the weak convergence theorem and probability inequalities of \rho-mixing sequence, under some proper conditions, we obtained general laws of precise asymptotics for partial sums of \rho-mixing sequence.  相似文献   

5.
??In this paper, by applying the moment inequality for asymptotically almost negatively associated (AANA, in short) random sequence and truncated method, the equivalent conditions of complete moment convergence of the maximum partial for weighted sums of AANA random variables are obtained without assumptions of identical distribution, which generalize and improve the corresponding ones of{15},{16} and {17}, respectively.  相似文献   

6.
In this paper, we establish the option pricing model under sub-fractional Brownian motion, and consider the situation of the continuous dividend payments. Firstly, Wick-It\^{o} integral and partial differential method are used to get the option price of partial differential equation, and then through variable substitution into Cauchy problem, we can get the pricing formula of European call option with dividend-paying in sub-fractional Brownian motion environment. According to the pricing formula of European call option, the European put option pricing formula is obtained. Moreover, we study the parameter estimation in the model, and consider the unbiasedness and the strong convergence of the estimator.  相似文献   

7.
??A new risk model is constructed, where the total number of claims satisfies the geometric first-order integer-valued autoregressive process. Moreover, we obtain the equation of the adjustment coefficient. We discuss the relationships among the dependence on the number of claims in each period, the adjustment coefficient, and ruin probability by numerical simulations. The results show that, with the increase of the dependence on the number of claims in each period, the adjustment coefficient decrease and ruin probability increase gradually.  相似文献   

8.
The heteroscedasticity is inevitable for the panel data modeling in economics. The two-stage estimation method is a better means to study the heteroscedasticity, in which the basis is to select only one independent variable for samples grouping, it can cause the information used is incomplete. In this paper, we propose to select several variables for grouping using variable selection method, then k-mean algorithm is used to cluster, so the samples classification can be achieved and the heteroscedasticity estimation can be obtained. The results of real example analysis show that the method presented in this paper has obvious advantages in effectiveness and feasibility.  相似文献   

9.
??This paper is based on ``Pao-Lu Hsu's lecture' (2019/3/22) at Peking University and the subsequent expansion of his reports. It begins with some recollections benefited of the author from Professor Hsu, and ends with thanking to a group of professors at Peking University for their support and help over the past decades. The middle part is the theme of the talk. It gives first an overview of personal cross research. Then, from a challenge of computing, the author reports on the study looking for a larger class of complex matrices which have real spectrum. This was done mainly in the last year. It involves the fields of computation, probability, statistical mechanics and quantum mechanics Next, the paper introduces the latest development of algorithms, which is another illustration of the intersection between probability theory and computational mathematics. As the end, it also outlines the understanding of the cross study.  相似文献   

10.
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本文是对近十年来科学前沿热点问题之一的 全基因组关联研究(genome-wide association study, GWAS)的一个综述, 侧重于介绍其中所用到的统计分析方法, 讨论当前GWAS中存在的一些问题及挑战, 并就其发展前景作一个展望.  相似文献   

11.
This paper explores inferential procedures for the Wiener constant-stress accelerated degradation model under degradation mechanism invariance. The exact confidence intervals are obtained for the parameters of the proposed accelerated degradation model. The generalized confidence intervals are also proposed for the reliability function and pth quantile of the lifetime at the normal operating stress level. In addition, the prediction intervals are developed for the degradation characteristic, lifetime and remaining useful life of the product at the normal operating stress level. The performance of the proposed generalized confidence intervals and the prediction intervals is assessed by the Monte Carlo simulation. Furthermore, a new optimum criterion is proposed based on minimizing the mean of the upper prediction limit for the degradation characteristic at the design stress level. The exact optimum plan is also derived for the Wiener accelerated degradation model according to the proposed optimal criterion. The proposed interval procedures and optimum plan are the free of the equal testing interval assumption. Finally, two examples are provided to illustrate the proposed interval procedures and exact optimum plan. Specifically, based on the degradation data of LEDs, some interval estimates of quantities related to reliability indicators are obtained. For the degradation data of carbon-film resistors, the optimal allocation of test units is derived in terms of the proposed optimal criterion.  相似文献   

12.
In the traditional design of reliability tests for assuring the mean time to failure (MTTF) in Weibull distribution with shape and scale parameters, it has been assumed that the shape parameter in the acceptable and rejectable populations is the same fixed number. For the purpose of expanding applicability of the reliability testing, Hisada and Arizono have developed a reliability sampling scheme for assuring MTTF in the Weibull distribution under the conditions that shape parameters in the both populations do not necessarily coincide, and are specified as interval values, respectively. Then, their reliability test is designed using the complete lifetime data. In general, the reliability testing based on the complete lifetime data requires the long testing time. As a consequence, the testing cost becomes sometimes expensive. In this paper, for the purpose of an economical plan of the reliability test, we consider the sudden death procedure for assuring MTTF in Weibull distribution with variational shape parameter.  相似文献   

13.
Abdelhakim Lotfi 《PAMM》2014,14(1):501-502
Photovoltaic cells are devices which convert solar radiation directly into electricity. However, solar radiation increases the photovoltaic cells temperature [1] [2]. The temperature has an influence on the degradation of the cell efficiency and the lifetime of a PV cell. This work reports on a cooling water technique for cells, whereby the cooling system was placed at the front surface of the cells to dissipate away excess heat and to block unwanted radiation. Using water as a cooling medium for the cells, the overheating of closed panel is greatly reduced without prejudicing luminosity and water acts as a filter to remove a portion of solar spectrum in the infrared band but allows transmission of the visible spectrum most useful for the PV operation. The aims of this study are to develop a 3D thermal model to simulate the cooling and heat transfer in Photovoltaic panel and recommend a cooling technique for the PV panel. In order to have a good estimation for the temperature distribution, the three-dimensional flow and heat transfer across the cooling block is investigated numerically by solving the continuity, momentum and energy equations using FLUENT. The second objective of this work is to study the influence of the geometrical dimensions of the panel, water mass flow rate and water inlet temperature on the flow distribution and the solar panel temperature. The results obtained by the model are compared with experimental results from testing the prototype of the cooling device. (© 2014 Wiley-VCH Verlag GmbH & Co. KGaA, Weinheim)  相似文献   

14.
电传操纵系统是影响飞行安全的关键系统,建立有效的电传操纵系统软件可靠性模型是软件可靠性测试和验证的基础.针对某型飞机系统安全性设计中横向通道电传操纵系统软件可靠性建模问题,建立了模块化的基于Markov的电传操纵系统软件可靠性模型.提出了综合考虑重要度和复杂度的软件可靠性指标分配方法,将可靠性目标分配到子模块.最后,通过实例验证了所建立的模型和指标分配方法的有效性.  相似文献   

15.
A lot of development resources are consumed during the software testing phase fundamentally consisting of module testing, integration, testing and system testing. Then, it is of great importance for a manager to decide how to effectively spend testing-resources on software testing for developing a quality and reliable software.In this paper, we consider two kinds of software testing-resource allocation problems to make the best use of the specified testing-resources during module testing. Also, we introduce a software reliability growth model for describing the time-dependent behavior of detected software faults and testing-resource expenditures spent during the testing, which is based on a nonhomogeneous Poisson process. It is shown that the optimal allocation of testing-resources among software modules can improve software reliability.  相似文献   

16.
Relying on reliability growth testing to improve system designis neither usually effective nor efficient. Instead it is importantto design in reliability. This requires models to estimate reliabilitygrowth in the design that can be used to assess whether goalreliability will be achieved within the target timescale forthe design process. Many models have been developed for analysisof reliability growth on test, but there has been much lessattention given to reliability growth in design. This paperdescribes and compares two models: one motivated by the practicalengineering process; the other by extending the reasoning ofstatistical reliability growth modelling. Both models are referencedin the recently revised edition of international standard IEC61164. However, there has been no reported evaluation of theirproperties. Therefore, this paper explores the commonalitiesand differences between these models through an assessment oftheir logic and their application to an industrial example.Recommendations are given for the use of reliability growthmodels to aid management of the design process and to informproduct development.  相似文献   

17.
The use of degradation model to perform the reliability analysis has drawn much attention due to the fact that the performance of numerous highly reliable systems degrades over time. To describe the unit-to-unit variability for a population of systems, the random effect has been incorporated into the degradation model that plays an important part in assessing the reliability of deteriorating systems. In the existing literature, the normal distribution is commonly adopted to represent the random effect, but the assumption can be unsuitable for some practical applications, such as the degradation process of train wheels. In this paper, we present a degradation modeling and reliability estimation approach by using truncated normal distribution to characterize the unit-to-unit variability. A Wiener process with truncated normal distribution is firstly applied to model the degradation process of the deteriorating system, and the analytical expressions of probability density function and reliability function are derived. Expectation maximization algorithm is then used to estimate the model parameters. The effectiveness and feasibility of the presented approach are illustrated through a numerical example and practical case studies for laser devices and train wheels. The results indicate that the presented approach can obtain better reliability estimation results by considering the truncated normal distribution when the unit-to-unit variability has significant difference.  相似文献   

18.
One of the most important issues for a development manager may be how to predict the reliability of a software system at an arbitrary testing time. In this paper, using the software failure-occurrence time data, we discuss a method of software reliability prediction based on software reliability growth models described by an NHPP (nonhomogeneous Poisson process). From the applied software reliability growth models, the conditional probability distribution of the time between software failures is derived, and its mean and median are obtained as reliability prediction measures. Finally, based on several numerical examples, we compare the performance between these measures from the view point of software reliability prediction in the testing phase.  相似文献   

19.
This paper proposes a systematic method of modeling accelerated degradation data based on the acceleration factor constant principle. Wiener stochastic process is considered because it is the most extensively used for degradation modeling. For the Wiener stochastic processes with three different time functions, the parameter relationships, which should be satisfied under any two different stress levels, are deduced according to the acceleration factor constant principle. The deduced parameter relationships indicate the stress-related parameters, which are applied to establish accurate accelerated degradation models. In addition, the deduced parameter relationships provide a guidance to test the consistency of the degradation mechanisms under different stress levels. A hypothesis method based on Analysis of Variance is adopted to identify the accelerated stress levels with different degradation mechanism. The degradation data under these stress levels should not be used to assess the product's reliability. The methods of validating accelerated degradation models and reliability assessments are also proposed. The simulation results prove the feasibility and effectiveness of the proposed methods. From the numerical example, it is concluded that the accelerated degradation model established based on the acceleration factor constant principle is more credible and accurate.  相似文献   

20.
Software failures have become the major factor that brings the system down or causes a degradation in the quality of service. For many applications, estimating the software failure rate from a user's perspective helps the development team evaluate the reliability of the software and determine the release time properly. Traditionally, software reliability growth models are applied to system test data with the hope of estimating the software failure rate in the field. Given the aggressive nature by which the software is exercised during system test, as well as unavoidable differences between the test environment and the field environment, the resulting estimate of the failure rate will not typically reflect the user‐perceived failure rate in the field. The goal of this work is to quantify the mismatch between the system test environment and the field environment. A calibration factor is proposed to map the failure rate estimated from the system test data to the failure rate that will be observed in the field. Non‐homogeneous Poisson process models are utilized to estimate the software failure rate in both the system test phase and the field. For projects that have only system test data, use of the calibration factor provides an estimate of the field failure rate that would otherwise be unavailable. For projects that have both system test data and previous field data, the calibration factor can be explicitly evaluated and used to estimate the field failure rate of future releases as their system test data becomes available. Copyright © 2002 John Wiley & Sons, Ltd.  相似文献   

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