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A fiducial argument for generalized p-value 被引量:3
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作者 Xin-min LI~(1+) Xing-zhong XU~2 Guo-ying LI~3 1 Institute of Applied Mathematics,Shandong University of Technology,Zibo 255049,China 2 Department of Mathematics,Beijing Institute of Technology,Beijing 100801,China 3 Academy of Mathematics and Systems Science,Chinese Academy of Sciences,Beijing 100800,China 《Science China Mathematics》 SCIE 2007年第7期957-966,共10页
This paper provides a general method for constructing generalized p-value via the fiducial inference.Furthermore,the power properties of the generalized test are discussed.As illustrations, the two-parameter exponenti... This paper provides a general method for constructing generalized p-value via the fiducial inference.Furthermore,the power properties of the generalized test are discussed.As illustrations, the two-parameter exponential distribution and unbalanced two-fold nested design are researched.It is shown that the resulting generalized p-values are of good frequency property. 展开更多
关键词 fiducial distribution generalized p-value frequency property two-parameter exponential distribution variance component 62F03 62E15
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Fiducial generalized p-values for testing zero-variance components in linear mixed-effects models 被引量:3
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作者 Xinmin Li Haiyan Su Hua Liang 《Science China Mathematics》 SCIE CSCD 2018年第7期1303-1318,共16页
Linear mixed-effects models are widely used in analysis of longitudinal data. However, testing for zero-variance components of random effects has not been well-resolved in statistical literature, although some likelih... Linear mixed-effects models are widely used in analysis of longitudinal data. However, testing for zero-variance components of random effects has not been well-resolved in statistical literature, although some likelihood-based procedures have been proposed and studied. In this article, we propose a generalized p-value based method in coupling with fiducial inference to tackle this problem. The proposed method is also applied to test linearity of the nonparametric functions in additive models. We provide theoretical justifications and develop an implementation algorithm for the proposed method. We evaluate its finite-sample performance and compare it with that of the restricted likelihood ratio test via simulation experiments. We illustrate the proposed approach using an application from a nutritional study. 展开更多
关键词 fiducial distribution generalized pivotal quantity generalized test variable penalized spline additive models restricted likelihood ratio test structural equation zero-variance components
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