1. |
R. A. Fisher and the Last Fifty Years of Statistical Methodology |
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Journal of the American Statistical Association,
Volume 60,
Issue 310,
1965,
Page 395-409
M.S. Bartlett,
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ISSN:0162-1459
DOI:10.1080/01621459.1965.10480800
出版商:Taylor & Francis Group
年代:1965
数据来源: Taylor
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2. |
The Asymptotic Relative Efficiency of Goodness-Of-Fit Tests against Scalar Alternatives |
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Journal of the American Statistical Association,
Volume 60,
Issue 310,
1965,
Page 410-419
Joseph Gelzer,
Ronald Pyke,
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摘要:
This paper deals with the asymptotic relative efficiency (A.R.E.) and the asymptotic power of certain tests. These tests are distribution-free goodness-of-fit tests based on the empirical distribution function. They are the one and two sided Kolmogorov-Smirnov tests and a new one based on the absolute values of the order statistics. The method of obtaining the A.R.E. is due to Quade [5] and is outlined in Section 1. In this paper we are concerned with the case of scalar alternatives. The asymptotic power for the Kolmogorov-Smirnov tests is obtained in Section 2. Section 3 deals with a new test which allows a more facile use of a one-sided statistic while utilizing the same information normally included in a two-sided statistic. In Section 4, three examples are considered to illustrate the superiority of this new test.
ISSN:0162-1459
DOI:10.1080/01621459.1965.10480801
出版商:Taylor & Francis Group
年代:1965
数据来源: Taylor
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3. |
Expected Significance Level as a Sensitivity Index for Test Statistics |
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Journal of the American Statistical Association,
Volume 60,
Issue 310,
1965,
Page 420-436
A.P. Dempster,
M. Schatzoff,
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摘要:
After a brief motivating discussion, of approaches to significance tests in Section 1, the concept of expected significance level (esl) is defined and its basic properties are presented in Section 2. Section 3 discusses the relationship between esl and the familiar criterion of power. While a complete description of power for each size α is more informative than esl, it is argued that esl is often a reasonable compromise between high ideals and practicability. Section 4 gives two estimation methods for Monte Carlo simulation of esl and shows how to estimate variances and covariances for the second of these methods. The first method leads to the familiar Wilcoxon two-sample statistic which is clearly a sample analogue of esl. The second and more apposite method leads to a modification of the Wilcoxon statistic.
ISSN:0162-1459
DOI:10.1080/01621459.1965.10480802
出版商:Taylor & Francis Group
年代:1965
数据来源: Taylor
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4. |
A Combinatorial Test for Independence of Dichotomous Responses |
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Journal of the American Statistical Association,
Volume 60,
Issue 310,
1965,
Page 437-441
PaulW. Mielke,
M.M. Siddiqui,
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摘要:
Dealt with in this paper is the analysis of phenomena involving simultaneous responses among members of small groups during a finite number of discrete time intervals. An exact combinatorial test obtained by conditioning on the sufficient statistics under a null hypothesis is proposed. A specific application of this test is given for the analysis of asthma attack data of asthmatic individuals.
ISSN:0162-1459
DOI:10.1080/01621459.1965.10480803
出版商:Taylor & Francis Group
年代:1965
数据来源: Taylor
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5. |
A Comparison of a Modified “Hannan” and the Bls Seasonal Adjustment Filters |
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Journal of the American Statistical Association,
Volume 60,
Issue 310,
1965,
Page 442-491
Marc Nerlove,
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摘要:
In a previous paper [12], an attempt was made to show how spectral techniques could be used to compare the effects of two seasonal adjustment procedures on the series to which they were applied. The two procedures compared were: (a) the technique currently used by the Bureau of Labor Statistics for seasonally adjusting employment, unemployment, and labor force monthly statistics, and (b) the so-called “residual” method, proposed by Brittain [2], Samuelson [16], and others. Spectra of the original and the seasonally adjusted series and the cross spectrum of the two were used to aid in the assessment of whether either procedure removed more than could be considered seasonal, introduced spurious regularities, and/or distorted temporal relationships. It was concluded that both techniques removed more than seasonal effects from, and produced some temporal distortion in, the series to which they were applied. Neither method appeared to be superior to the other.
ISSN:0162-1459
DOI:10.1080/01621459.1965.10480804
出版商:Taylor & Francis Group
年代:1965
数据来源: Taylor
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6. |
Fourier Methods for Evolving Seasonal Patterns |
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Journal of the American Statistical Association,
Volume 60,
Issue 310,
1965,
Page 492-502
NigelF. Nettheim,
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摘要:
The use of Fourier or spectral methods for the seasonal adjustment of economic and other time series has recently been suggested; see for example Hannan [3], [4]. The case in which the seasonal pattern does not change appreciably from year to year has been covered in some detail but methods appropriate to an evolving seasonal pattern have been given only a little attention. The present paper discusses the nature of evolving seasonal patterns which may arise in economic series and examines a method due to Hannan which may be used when the pattern is changing slowly over time. Although the suggested method is not readily mechanized for routine application on a large scale since some personal judgments are called for, it is found useful in detailed studies and might well be applied to any series for which traditional methods are not adequate; it is also applicable to the problem of prediction.
ISSN:0162-1459
DOI:10.1080/01621459.1965.10480805
出版商:Taylor & Francis Group
年代:1965
数据来源: Taylor
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7. |
Appropriations Data and the Investment Decision |
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Journal of the American Statistical Association,
Volume 60,
Issue 310,
1965,
Page 503-515
Edward Greenberg,
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摘要:
Several hypotheses which have been employed to explain firms' investment in plant and equipment are tested against the NICB quarterly series on new appropriations. Data for nine two-digit industries are used to estimate regression equations for each industry, using the efficient estimation technique of Zellner. Interesting industry differences appear; in particular, the least concentrated industries appear more sensitive to pressure on capacity, while the remaining industries seem more affected by financing considerations.
ISSN:0162-1459
DOI:10.1080/01621459.1965.10480806
出版商:Taylor & Francis Group
年代:1965
数据来源: Taylor
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8. |
A Class of Bivariate Distributions |
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Journal of the American Statistical Association,
Volume 60,
Issue 310,
1965,
Page 516-522
R.L. Plackett,
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摘要:
By developing an analogy with the measure of association in a fourfold contingency table, a method is given of constructing a one-parameter class of bivariate distributions from given margins. This class contains the known boundary distributions and the member corresponding to independent random variables. The class resulting from standard normal margins is compared with the standard normal bivariate distribution, and it is found that the two joint distributions and the two conditional distributions each agree tolerably well. Estimation of the parameter is illustrated by an example showing a computational advantage of this class of distributions.
ISSN:0162-1459
DOI:10.1080/01621459.1965.10480807
出版商:Taylor & Francis Group
年代:1965
数据来源: Taylor
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9. |
Unified Least Squares Analysis |
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Journal of the American Statistical Association,
Volume 60,
Issue 310,
1965,
Page 523-527
C.A. Rohde,
J.R. Harvey,
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摘要:
It is seen (through consideration of generalized inverses) that the abbreviated Doolittle method serves, in problems of linear estimation, as a solution technique for models of less than full rank as well as for models of full rank, and in identically the same fashion. Thus the method assumes increased importance as a research and pedagogical device, as well as a computing technique.
ISSN:0162-1459
DOI:10.1080/01621459.1965.10480808
出版商:Taylor & Francis Group
年代:1965
数据来源: Taylor
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10. |
A Relation betweentandF-distributions |
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Journal of the American Statistical Association,
Volume 60,
Issue 310,
1965,
Page 528-531
Theophilos Cacoullos,
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摘要:
A relation is derived between the percentile points of at-distribution withndegrees of freedom and those of anF-distribution withnandndegrees of freedom. In effect, thet-percentiles can be obtained by a simple transformation from the “diagonal” entries of anF-table.
ISSN:0162-1459
DOI:10.1080/01621459.1965.10480809
出版商:Taylor & Francis Group
年代:1965
数据来源: Taylor
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