400: A Method for Combining Non-Independent, One-Sided Tests of Significance
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Publication:4080573
DOI10.2307/2529826zbMATH Open0318.62030OpenAlexW2330978860WikidataQ59410580 ScholiaQ59410580MaRDI QIDQ4080573FDOQ4080573
Authors: Morton B. Brown
Publication date: 1975
Published in: Biometrics (Search for Journal in Brave)
Full work available at URL: https://doi.org/10.2307/2529826
Cited In (17)
- Combining dependent \(P\)-values.
- On actual significance levels of combined tests
- Combining dependent \(p\)-values by gamma distributions
- Stock volatility predictability in bull and bear markets
- False Discovery Rates to Detect Signals from Incomplete Spatially Aggregated Data
- Calibration tests for multivariate Gaussian forecasts
- The Generalized Fisher's Combination and Accurate P-Value Calculation under Dependence
- Signal localization: a new approach in signal discovery
- Testing for outliers with conformal p-values
- Distribution of Fisher's combination statistic when the tests are dependent
- A test of harmful multicollinearity: A generalized ridge regression approach
- Asymptotic‐based bootstrap approach for matched pairs with missingness in a single arm
- Distribution of weighted Lancaster’s statistic for combining independent or dependent P-values, with applications to human genetic studies
- Approximated distributions of the weighted sum of correlated chi-squared random variables
- A simple approximation for the distribution of the weighted combination of non-independent or independent probabilities
- Combination of inductive Mondrian conformal predictors
- Testing equality of means under order restrictions using multiple contrasts
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