


default search action
Model Assisted Statistics and Applications, Volume 5
Volume 5, Number 1, 2010
- David D. Hanagal:

Modeling heterogeneity for bivariate survival data by the compound poisson distribution. 1-9 - S. Jonathan Mends-Cole:

Probability of coverage, rate of rejection, and average location relative efficiency for trimmed and partial variance procedures. 11-20 - Sharada V. Bhat, Aparna B. Patil:

Empirical power of two-sample distribution-free tests under mixture of distributions. 21-29 - May Barghout:

Predicting software reliability using an imperfect debugging Jelinski Moranda Non-homogeneous Poisson Process model. 31-41 - Gyan Prakash, B. Prasad:

Bayes prediction intervals for the Rayleigh model. 43-49 - R. Arnab, U. C. Sud:

A note on variance estimation of ratio estimator in two phase sampling. 51-60 - L. N. Sahoo, G. Mishra, S. R. Nayak:

On two different classes of estimators in two-phase sampling using multi-auxiliary variables. 61-68
Volume 5, Number 2, 2010
- Marcin Kozak, Lawrence M. Lesser

:
Editorial: Teaching Statistics: Announcing a new section of Model Assisted Statistics and Applications. 69-71 - Zhenmin Chen:

A note on the runs test. 73-77 - Dipak D. Patil, M. B. Rajarshi:

Comparison of confidence intervals for the Poisson mean. 79-91 - V. K. Sharma, Cini Varghese, Seema Jaggi:

Tetrahedral and cubical association schemes with related PBIB(3) designs. 93-99 - Himadri Ghosh, Ranjit Kumar Paul, Prajneshu:

Functional coefficient autoregressive nonlinear time-series model for forecasting Indian lac export data. 101-108 - Kahadawala Cooray, Sumith Gunasekera

, Malwane M. A. Ananda:
Weibull and inverse Weibull composite distribution for modeling reliability data. 109-115 - J. Subramani:

Generalization of diagonal systematic sampling scheme for finite populations. 117-128 - Dewi Rahardja, Yongming Qu, Yan D. Zhao:

Novel non-parametric point and interval estimation for competing probability. 129-136 - Yan D. Zhao, Dewi Rahardja:

Maximum likelihood estimation for nonlinear structural equation models with normal latent variables. 137-147
Volume 5, Number 3, 2010
- Estelle Russek-Cohen, Boris Zaslavsky:

Editorial: Statistical models and applications in biomedicine. 149-150 - Hong Laura Lu, Qian H. Li, Guoxing Soon:

Multiplicity in clinical trials with multiple endpoints and a 'subset' decision rule. 151-157 - Ling Chen, Qian H.:

Assessing clinically relevant treatment differences using weighted responder means. 159-167 - Lei Nie, Guoxing Soon, William Tauber, Mohammad Huque:

An adaptive noninferiority margin and sample size adjustment in covariate-adjustment regression model approach to noninferiority clinical trials. 169-177 - Kyunghee K. Song, Lisa A. Weissfeld:

Comparison of two distributions in the presence of length bias. 179-186 - Punam Pahwa, Ambikaipakan Senthilselvan:

Analysis of correlated bronchial responsiveness data. 187-195 - Shahina Begum

, Sada Nand Dwivedi, Arvind Pandey, Suneeta Mittal:
Factors associated with unwanted pregnancies in India through a hierarchical model. 197-202 - Boris Zaslavsky, Jing Han, Jawahar Tiwari, Raj K. Puri:

Application of perturbed datasets to evaluate genomic biomarkers identified by microarray analysis. 203-208 - Robert J. Blodgett:

Does a serial dilution experiment's model agree with its outcome? 209-215
Volume 5, Number 4, 2010
- Stan Lipovetsky:

Statistics in practical decision making. 217-218 - Ewa Nowakowska:

Modeling in a multicollinear setup: Determinants of SVR advantage. 219-233 - Dimitri Liakhovitski, Yegor Bryukhov, W. Michael Conklin:

Relative importance of predictors: Comparison of Random Forests with Johnson's Relative Weights. 235-249 - Stan Lipovetsky, W. Michael Conklin:

Meaningful regression analysis in adjusted coefficients Shapley value model. 251-264 - Boris Vilge:

Prediction by regression for strength of chemically active composite materials. 265-272 - J. Subramani:

Process control in the presence of linear trend. 273-282 - Sharad Saxena, Housila P. Singh, Omprakash K. Gupta, K. Surekha Rao:

Bayesian estimation of MTTF for exponential distribution: A Bessel function life testing model. 283-291 - Eugene Demidenko:

Portfolio risk management via interval probability. 293-302

manage site settings
To protect your privacy, all features that rely on external API calls from your browser are turned off by default. You need to opt-in for them to become active. All settings here will be stored as cookies with your web browser. For more information see our F.A.Q.


Google
Google Scholar
Semantic Scholar
Internet Archive Scholar
CiteSeerX
ORCID














