Estimating the total of a continuous population (Q1082727): Difference between revisions

From MaRDI portal
Importer (talk | contribs)
Created a new Item
 
ReferenceBot (talk | contribs)
Changed an Item
 
(3 intermediate revisions by 3 users not shown)
Property / MaRDI profile type
 
Property / MaRDI profile type: MaRDI publication profile / rank
 
Normal rank
Property / full work available at URL
 
Property / full work available at URL: https://doi.org/10.1016/0378-3758(86)90119-9 / rank
 
Normal rank
Property / OpenAlex ID
 
Property / OpenAlex ID: W2063940132 / rank
 
Normal rank
Property / cites work
 
Property / cites work: Q4172768 / rank
 
Normal rank
Property / cites work
 
Property / cites work: Q5819795 / rank
 
Normal rank
Property / cites work
 
Property / cites work: Relative Accuracy of Systematic and Stratified Random Samples for a Certain Class of Populations / rank
 
Normal rank
Property / cites work
 
Property / cites work: SYSTEMATIC SAMPLING OF CONTINUOUS PARAMETER POPULATIONS / rank
 
Normal rank
Property / cites work
 
Property / cites work: Q5795331 / rank
 
Normal rank
Property / cites work
 
Property / cites work: The intrinsic random functions and their applications / rank
 
Normal rank
Property / cites work
 
Property / cites work: Robust Estimation in Finite Populations I / rank
 
Normal rank
Property / cites work
 
Property / cites work: On finite population sampling theory under certain linear regression models / rank
 
Normal rank
Property / cites work
 
Property / cites work: Systematic sampling / rank
 
Normal rank
links / mardi / namelinks / mardi / name
 

Latest revision as of 16:11, 17 June 2024

scientific article
Language Label Description Also known as
English
Estimating the total of a continuous population
scientific article

    Statements

    Estimating the total of a continuous population (English)
    0 references
    0 references
    1986
    0 references
    A continuous population on the real line may be considered as the realization y(t) of a random process Y(t) with a trend function and a covariance function. On the basis of sample values \(y(t_ 1),...,y(t_ n)\) it is natural to choose the estimator \(\hat T\) of the toal \(T=\int^{a}_{0}y(t)dt\) so that \(E[(\hat T-T)^ 2]\) is minimized. Various criteria for choosing the sample ofpoints and the estimator are discussed in this paper. One result is that for a constant trend and triangular covariance function \(\gamma (t)=C\cdot (1-| t| /a)\), the centered systematic sample and \(\hat T=a\sum y(t_ i)/n\) provide the optimal choice. A similar result is also given for the case of a quadratic trend.
    0 references
    estimation of the population total
    0 references
    predictive mean square error
    0 references
    minimum Xi-bias
    0 references
    survey sampling
    0 references
    superpopulation
    0 references
    systematic sampling
    0 references
    continuous population
    0 references
    constant trend
    0 references
    triangular covariance function
    0 references
    centered systematic sample
    0 references
    quadratic trend
    0 references

    Identifiers