scientific article; zbMATH DE number 3553575
From MaRDI portal
Publication:4127200
zbMath0355.62049MaRDI QIDQ4127200
Publication date: 1976
Title: zbMATH Open Web Interface contents unavailable due to conflicting licenses.
Related Items (71)
A Schatten-\(q\) low-rank matrix perturbation analysis via perturbation projection error bound ⋮ The geometrical interpretation of statistical tests in multivariate linear regression ⋮ On component analyses ⋮ Asymptotics of special functions and the central limit theorem on the space \({\mathcal P}_ n\) of positive \(n\times n\) matrices ⋮ Strong consistency of least squares estimates in linear regression models driven by semimartingales ⋮ Analyzing multiple end points with a two-stage design in clinical trials ⋮ Regularized Aggregation of One-Off Probability Predictions ⋮ Inferential procedures for correlation coefficients corrected for attenuation ⋮ A monte carlo study of the power of alternative tests under the generalized manova model ⋮ A Generalized Distance Multi-Sample Test of Normality With Applications to Process Control ⋮ A Simple Method for Computing the Arl of [ILM0001-Charts with Zone Tests] ⋮ A review of ranking models in data envelopment analysis ⋮ Comparing mean ranks for repeated measures data ⋮ On a DC-optimization-problem from statistical factor analysis ⋮ Asymptotic properties of correlation-based principal component analysis ⋮ Synthesis of civil aircraft control using empirical data and quantum filtering ⋮ Profile analysis of several groups ⋮ Zur Bewertung von Schätzungen bei der gewöhnlichen Regressionsanalyse ⋮ A self-tuning regulator for multivariable systems ⋮ Factor recovery by principal axis factoring and maximum likelihood factor analysis as a function of factor pattern and sample size ⋮ Discriminant analysis and its application to the stock market ⋮ Manova with covariates and an application in profile analysis ⋮ Multivariate linear rank statistics for profile analysis ⋮ Saddlepoint approximations for P-values of some tests of covariance matrices ⋮ Bayesian Inference in the Multivariate Mixed ModelManova ⋮ AN EFFICIENT ALGORITHM FOR SOLVING A QUADRATIC PROGRAMMING MODEL WITH APPLICATION IN CREDIT CARD HOLDERS' BEHAVIOR ⋮ Discriminant analysis based on the approaches of quantum computing ⋮ The use of randomization in repeated measurements ⋮ Assessing the stability of principal components using regression ⋮ Modeling dynamical behavior of stochastic systems: spectral analysis of qubit representations vs the mutual Markovian model likelihood estimations ⋮ The multitype branching random walk, I ⋮ A spectral clustering method for microarray data ⋮ Distribution modeling and simulation of gene expression data ⋮ Simple Component Analysis ⋮ Type I errors linked to faulty statistical analyses of endangered subspecies classifications ⋮ On approximating a linear combination of central wishart matrices with positive coefficients ⋮ On the analysis of multivariate repeated measures designs ⋮ Exact maximum likelihood for incomplete data from a correlated gaussian process ⋮ Generalized Schott type tests for complete independence in high dimensions ⋮ Asymptotic Expansions of the Non-Null Distribution of the Likelihood Ratio Criterion for Multisample Sphericity ⋮ Distributions of characteristic roots in multivariate analysis Part II. Non-Null Distribution ⋮ On interpreting the product moment correlation coefficient ⋮ A Procedure for Identification of Principal Variables by Least Generalized Dependence ⋮ Multivariate Estimation of Conditional Performance Measures in Regenerative Simulation ⋮ Generic features in the spectral decomposition of correlation matrices ⋮ Analysis of a factorial quantal response assay using inverse regression ⋮ Estimation of \(P(Z<Y)\) for correlated stochastic time series models ⋮ Performance of some boundary-seeking mode estimators on the dome bias model ⋮ DEA and the discriminant analysis of ratios for ranking units ⋮ Optimal noise addition for preserving confidentiality in multivariate data ⋮ A comparison of the power of some tests for repeated measurements ⋮ Some relations between the comparison of covariance matrices and principal component analysis ⋮ Sequential discrimination ⋮ The effect of serial correlation on confidence regions for the parmnters of a multivariate normal population ⋮ DENSITY ESTIMATION FOR CLUSTERED DATA ⋮ Application of orthogonal arrays and MARS to inventory forecasting stochastic dynamic programs. ⋮ Comparison of test statistics of nonnormal and unbalanced samples for multivariate analysis of variance in terms of type-I error rates ⋮ Methods for repeated measures data analysis with missing values ⋮ Between-group comparison of principal components — some sampling results ⋮ Canonical analysis of longitudinal and repeated measures data with stationary weights ⋮ Hyperspectral anomaly detection based on constrained eigenvalue-eigenvector model ⋮ Simplification of solving diagnostics problems by convolution of applied Markovian models into the quantum representations ⋮ On nonparametric profile analysis of several multivariate samples ⋮ Bootstrap tolerance and confidence limits for two-variable reliability using independent and weakly dependent observations ⋮ Validation of Simulation Models via Simultaneous Confidence Intervals ⋮ Anova for repeated ordinal data with small sample size? a comparison of anova, manova, wls and gee methods by simulation ⋮ The growth curve model: a review ⋮ Review of ranking methods in the data envelopment analysis context ⋮ Confidence Bounds for Pr(a′x > b′y) ⋮ Simple approximation of sample size for the bivariate normal ⋮ Variance reduction in queueing simulation using generalized concomitant variables
This page was built for publication: