Distribution of Fisher's combination statistic when the tests are dependent
DOI10.1080/00949650802412607zbMATH Open1184.62096OpenAlexW2092982998MaRDI QIDQ5306299FDOQ5306299
Authors: Jim J. Yang
Publication date: 8 April 2010
Published in: Journal of Statistical Computation and Simulation (Search for Journal in Brave)
Full work available at URL: https://doi.org/10.1080/00949650802412607
Recommendations
Monte Carlo methods (65C05) Asymptotic distribution theory in statistics (62E20) Hypothesis testing in multivariate analysis (62H15) Approximations to statistical distributions (nonasymptotic) (62E17)
Cites Work
- Title not available (Why is that?)
- The central limit theorem for dependent random variables
- Asymptotic Optimality of Fisher's Method of Combining Independent Tests II
- Asymptotic Optimality of Fisher's Method of Combining Independent Tests
- Combining dependent \(P\)-values.
- 400: A Method for Combining Non-Independent, One-Sided Tests of Significance
Cited In (6)
- Combining dependent \(P\)-values.
- Approximating the distribution of minimal dependent \(p\)-values
- The Generalized Fisher's Combination and Accurate P-Value Calculation under Dependence
- A Note on Combining Dependent Tests of Significance
- Distribution of weighted Lancaster’s statistic for combining independent or dependent P-values, with applications to human genetic studies
- Combining Univariate Tests for Multivariate Location Problem
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