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                             164 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 A binary choice model with partial observability for panel data Batalova, Ekaterina

4 p. 315-322
artikel
2 A case study in selecting optimal number of trials in Bayesian decision making Lipkovich, Ilya
2009
4 p. 247-251
artikel
3 Acknowledgment 2009
4 p. 325
artikel
4 Acknowledgment 2008
4 p. 363
artikel
5 Acknowledgment 2014
4 p. 361-362
artikel
6 Acknowledgment 2013
4 p. 337-338
artikel
7 Acknowledgment 2012
4 p. 341
artikel
8 Acknowledgment
4 p. 361
artikel
9 Acknowledgment
4 p. 283
artikel
10 Acknowledgments
4 p. 299
artikel
11 Acknowledgments 2016
4 p. 349
artikel
12 Acknowledgments Shemyakin, Arkady
2017
4 p. 413-414
artikel
13 Acknowledgments Waller, Jennifer
2018
4 p. 387-388
artikel
14 Acknowledgments
4 p. 387
artikel
15 A general procedure for estimating the mean using double sampling for stratification Singh, Housila P.
2008
4 p. 225-237
artikel
16 Agent-based modeling for benchmarking banking regulation regimes: Application for the CBDC Nechitailo, Vladimir

4 p. 261-272
artikel
17 Aivazian Sergey artemievich: Memories of a colleague Mhitaryan, Vladimir

4 p. 303-309
artikel
18 Amazon customer service: Big data analytics Sharma, Suyash

4 p. 231-237
artikel
19 A measure of linear diagonals-parameter symmetry for square contingency tables with ordered categories Yamamoto, Kouji
2008
4 p. 335-344
artikel
20 An adaptive sampling procedure for estimating heavy metal pollutants of ground water from soil Adeleke, I.A.
2008
4 p. 353-360
artikel
21 An efficient reliability system for censoring the data based on the hybrid approach Kalaivani, K.
2013
4 p. 289-299
artikel
22 A new section in MASA: Guide Handbook of Statistical Techniques (GHOST)
4 p. 277
artikel
23 A new version of the item count technique Christofides, Tasos C.
2015
4 p. 289-297
artikel
24 An improved stratified randomized response model using two decks of cards Abdelfatah, Sally
2015
4 p. 309-320
artikel
25 Anticoagulants effect on pre-adult growth of Aedes aegypti using artificial membrane feeding with stochastic approach Ahdika, A.
2016
4 p. 339-348
artikel
26 Anti-robust and tonsured statistics Goldberg, Martin J.
2017
4 p. 387-398
artikel
27 Application of cluster analysis for customer segmentation: Study on menstrual cups Dangra, Sanket

4 p. 273-277
artikel
28 Application of log-linear models to dengue virus infection patients in Thailand Pongsumpun, Puntipa
2013
4 p. 275-287
artikel
29 Application of Poisson regression analysis for queueing system of the demand for medical and health service Kitbumrungrat, Krieng
2007
4 p. 257-265
artikel
30 Application of support vector machine modeling and graph theory metrics for disease classification Rudd, Jessica M.
2018
4 p. 341-349
artikel
31 Applied statistics and its development by Sergey Aivazian Lipovetsky, Stan

4 p. 297-301
artikel
32 Approximations of the power functions for Wald, likelihood ratio, and score tests and their applications to linear and logistic regressions Demidenko, Eugene

4 p. 335-349
artikel
33 A predictive model to identify Kanban teams at risk Shamshurin, Ivan

4 p. 321-335
artikel
34 A randomized response model for estimating a rare sensitive attribute in stratified sampling using poisson distribution Tarray, Tanveer A.
2015
4 p. 345-360
artikel
35 Assessment of health and social security agency participants proportion using hierarchical bayesian small area estimation Yanuar, Ferra

4 p. 241-250
artikel
36 Attribute-based sentiment analysis in marketing: Application and strategic implications Ghosh, Amit K.
2018
4 p. 311-318
artikel
37 A two-stage procedure for estimation of the common mean of several normal populations having unequal and unknown variances Gupta, Rahul
2007
4 p. 207-213
artikel
38 Author Index Volume 9 (2014) 2014
4 p. 363-365
artikel
39 Author Index Volume 8 (2013) 2013
4 p. 339-341
artikel
40 Author Index Volume 7 (2012) 2012
4 p. 343-345
artikel
41 Author Index Volume 8 (2013) 2013
4 p. 333-335
artikel
42 Author Index Volume 11 (2016) 2016
4 p. 351-353
artikel
43 Author Index Volume 10 (2015) Chaudhuri, Arijit
2015
4 p. 457-459
artikel
44 Bayesian estimation and unit root tests for Random Coefficient AutoRegressive models Wang, Dazhe
2008
4 p. 281-295
artikel
45 Bayesian estimation for a constrained bivariate normal population Sunthornworasiri, Ngamphol
2008
4 p. 305-316
artikel
46 Bayesian inference of financial networks Sosa, Juan

4 p. 295-310
artikel
47 Bayes linear estimator for two-stage and stratified randomized response models Son, Chang Kyoon
2015
4 p. 321-333
artikel
48 Bivariate lifetime modelling using copula functions in presence of mixture and non-mixture cure fraction models, censored data and covariates Achcar, Jorge Alberto
2016
4 p. 261-276
artikel
49 Bivariate t-distribution type symmetry model for square contingency tables with ordered categories Iki, Kiyotaka
2013
4 p. 315-319
artikel
50 Bootstrap confidence intervals for finite population quantiles in the presence of auxiliary information Rueda, M.
2007
4 p. 279-290
artikel
51 British put option on stocks under stochastic interest rate Lara-Tuprio, Elvira P. De
2017
4 p. 321-334
artikel
52 Call for Papers 2008
4 p. 361
artikel
53 Classification of solid waste generation areas in the greater accra region using machine learning algorithms Chapman-Wardy, Charlotte

4 p. 359-371
artikel
54 Community-oriented projects in calculus-based statistics courses Shemyakin, Arkady
2009
4 p. 253-264
artikel
55 Comparisons of sampling strategies for estimating finite population proportions in direct and randomized response surveys under a super population model Sengupta, S.
2015
4 p. 385-390
artikel
56 Construction and analysis of sudoku designs Subramani, J.
2009
4 p. 287-301
artikel
57 Construction of two-level irregular minimum aberration fractional factorial plans Jambhulkar, Nitiprasad N.
2013
4 p. 301-307
artikel
58 Contribution of individual variables to the regression sum of squares Shabuz, Zillur R.

4 p. 281-296
artikel
59 Copula-application to modelling Russian banking system capital adequacy according to Basel II IRB-approach Andrievskaya, I.K.
2012
4 p. 267-280
artikel
60 Correlated multivariate Poisson processes and extreme measures Chiu, Michael
2017
4 p. 369-385
artikel
61 Data error prevention and cleansing: A comprehensive guide for instructors of statistics and their students Grace, Tammy A.
2009
4 p. 303-312
artikel
62 Data preparation and fuzzy matching techniques for improved statistical modeling Sloan, Stephen
2018
4 p. 367-375
artikel
63 Deo’s formula for optimal employee density to reduce theft-related shrink Deo, Balbinder S.

4 p. 311-319
artikel
64 Determinants of growth of small high-tech companies in transition economies Kravchenko, Nataliya
2017
4 p. 399-412
artikel
65 Determination of optimal chance double sampling plan using genetic algorithm Sampath, S.
2013
4 p. 265-273
artikel
66 Diagonal circular systematic sampling Sampath, S.
2008
4 p. 345-352
artikel
67 Different inference approaches for the estimators of the sushila distribution de Oliveira Peres, Marcos Vinicius

4 p. 251-260
artikel
68 Discussing copulas with Sergey Aivazian: A memoir Fantazzini, Dean

4 p. 363-370
artikel
69 Efficient family of ratio-product type estimators of median Jhajj, H.S.
2014
4 p. 277-282
artikel
70 Emerging applications of randomized response concepts and some related issues Nayak, Tapan K.
2015
4 p. 335-344
artikel
71 Empirical comparison of skewed t-copula models for insurance and financial data Huang, Liwei

4 p. 351-361
artikel
72 Erratum
4 p. 285
artikel
73 Estimating a finite population mean of a sensitive quantitative variable from a single probability sample by the Item Count Technique Shaw, Purnima
2015
4 p. 411-419
artikel
74 Estimating functions in survey sampling using randomized response trials Mukhopadhyay, Parimal
2015
4 p. 391-396
artikel
75 Estimation of finite population mean using two auxiliary variables in sample surveys Tailor, Rajesh
2008
4 p. 297-303
artikel
76 Estimation of mean in randomized response surveys when answers are incompletely truthful Hong, Zhimin
2007
4 p. 221-230
artikel
77 Estimation of population mean at current occasion in successive sampling under a super-population model Singh, G.N.
2008
4 p. 189-200
artikel
78 Estimation of the Burr-XII distribution for partially accelerated life tests using censored data Abdel-Ghaly, Abdalla A.
2008
4 p. 317-334
artikel
79 Exact higher-order moments for linear non-homogeneous stochastic differential equation Guidoum, Arsalane Chouaib

4 p. 321-329
artikel
80 “Feel the decibels closely”: Earphones preference study using conjoint analysis Sood, Kumar Abhinandan

4 p. 279-283
artikel
81 Fifty years gone by Chaudhuri, Arijit
2015
4 p. 277-281
artikel
82 Financial analytics for interlinking stock market and macroeconomic performance- post financial crisis 2008 Bhute, Anjali

4 p. 239-245
artikel
83 Financial volatility estimation using functional gradient descent algorithm Chung, Steve S.
2017
4 p. 305-319
artikel
84 Further results on the bivariate semi-parametric singular family of distributions Vasudevan, Durga

4 p. 311-320
artikel
85 Further results on the generalized Liu-type estimators under the balanced loss function Akdeniz, Esra
2008
4 p. 213-223
artikel
86 Generating randomized response by inverse mechanism Chaudhuri, Arijit
2014
4 p. 343-351
artikel
87 How art helps to understand statistics Lipovetsky, Stan
2009
4 p. 313-324
artikel
88 Impact of microfinance on enhanced wellbeing of self-help group women in post-COVID scenario Jain, Rinku

4 p. 265-271
artikel
89 Improved ratio-cum-product type exponential estimators for ratio of two population means in sample surveys Tailor, Rajesh
2014
4 p. 283-294
artikel
90 Improvement upon Warner's model with an optional randomized response technique Pal, Sanghamitra
2007
4 p. 299-304
artikel
91 Industrial adoption and transition towards sustainable renewable energy Garg, Nishesh

4 p. 259-264
artikel
92 Iteratively re-weighted random-coefficient models and Shapley value regression Lipovetsky, Stan
2008
4 p. 201-212
artikel
93 Large asymmetry and directional dependence by using copula modeling to currency exchange rates Uhm, Daiho
2012
4 p. 327-340
artikel
94 Legacy of professor Aivazian Lipovetsky, Stan

4 p. 285-287
artikel
95 Linear model averaging by minimizing mean-squared forecast error unbiased estimator Moiseev, Nikita A.
2016
4 p. 325-338
artikel
96 Linear shrinkage estimator of scale parameter of Morgenstern type bivariate logistic distribution using ranked set sampling Singh, Housila P.
2014
4 p. 295-307
artikel
97 Logistic and multinomial-logit models: A brief review on their modifications and extensions Lipovetsky, Stan

4 p. 279-282
artikel
98 Maximum likelihood estimation of a change point for Poisson distributed data Paparas, Alex

4 p. 347-358
artikel
99 Mean square error estimation in randomized response surveys Adhikary, Arun Kumar
2015
4 p. 397-409
artikel
100 Meeting Report: STAT-HAWKERS at the JSM-2014, Boston, USA Singh, Sarjinder
2015
4 p. 453-456
artikel
101 Meeting Report: STAT-HAWKERS at the JSM-2013, Montreal, Canada Singh, Sarjinder
2013
4 p. 333-336
artikel
102 Methodology of socio-economic development assessment given the characteristics of regional differentiation Aivazian, S.A.

4 p. 311-314
artikel
103 Methods and algorithms for solving multicriteria problems – classification approach Salukvadze, M.
2008
4 p. 239-251
artikel
104 Minimum information for training a classifier Halsey, Catherine
2018
4 p. 351-358
artikel
105 Model formulation on efficiency for median estimation under a fixed cost in survey sampling Iseh, Matthew Joshua

4 p. 373-385
artikel
106 Modeling financial markets using copula functions Persons, Patrick
2012
4 p. 291-303
artikel
107 Model selection in GLM based on the distribution function criterion Sakate, D.M.
2013
4 p. 321-332
artikel
108 Modern applications of copula and financial modeling 2012
4 p. 265
artikel
109 Multicriteria optimal design problems of ecologically dangerous objects Salukvadze, M.
2008
4 p. 253-266
artikel
110 Multiplicity adjustment in clinical trials with multiple correlated testing Zaslavsky, Boris G.
2016
4 p. 315-324
artikel
111 Multivariate Poisson Markov-dependent finite mixture models for analysis of weed counts Karunanayake, Chandima
2007
4 p. 267-277
artikel
112 Nested cross-over designs Singh, Poonam
2016
4 p. 247-259
artikel
113 Network visualization to discern patterns of relationships between symptoms in dementia Mitnitski, Arnold
2014
4 p. 353-359
artikel
114 Note on “Parameters estimators of irregular right-angled triangular distribution” Lamond, Bernard F.

4 p. 273-276
artikel
115 On an example of a randomized response model Padmawar, V.R.
2015
4 p. 431-440
artikel
116 On efficacy of empirical Bayes estimation of a finite population mean of a sensitive variable through randomized responses Chaudhuri, Arijit
2015
4 p. 283-288
artikel
117 On modeling directional dependence by using copulas Sungur, Engin A.
2012
4 p. 305-313
artikel
118 On the comparison of some randomized response techniques under unequal probability sampling and super-population modelling Dihidar, Kajal
2015
4 p. 299-307
artikel
119 On the distribution of the domination number of a new family of parametrized random digraphs Ceyhan, Elvan
2007
4 p. 231-255
artikel
120 On the information in two-level experiments González-Dávila, Enrique
2008
4 p. 173-187
artikel
121 On the relative efficiencies of randomized response devices with Greenberg unrelated question model Javed, M.
2007
4 p. 291-297
artikel
122 Option price predictability, splines, and expanded rationality Dong, Huijian

4 p. 285-297
artikel
123 PD-LGD correlation study: Evidence from the Russian corporate bond market Ermolova, M.D.
2017
4 p. 335-358
artikel
124 Polish agricultural universities students' graphical perception Kozak, Marcin
2009
4 p. 281-286
artikel
125 Population mean estimator corresponding to Horvitz - Thompson's estimator for multi-characteristics using randomised response technique Grewal, I.S.
2007
4 p. 215-220
artikel
126 Probability space of regression models and its applications to financial time series Ladyzhets, Vladimir

4 p. 297-310
artikel
127 Quantile estimation in fractional Levy Ornstein-Uhlenbeck processes Bishwal, Jaya P.N.

4 p. 279-293
artikel
128 Random “Birth and Death” process of defects yielding destruction of composite materials Vilge, Boris I.

4 p. 337-345
artikel
129 Randomized response techniques: A case study of the risky behaviors' of students of a certain University Arnab, Raghunath
2015
4 p. 421-430
artikel
130 Random rules and the ancient history of simulation Shemyakin, Arkady

4 p. 347-359
artikel
131 Regular uniform main-effect designs derivable from geometric factorial designs in 2n runs Boguslavsky, Ilya

4 p. 323-333
artikel
132 Ridge Regression and multicollinearity: An in-depth review Schreiber-Gregory, Deanna N.
2018
4 p. 359-365
artikel
133 Ridit score type asymmetry model and decomposition of symmetry for square contingency tables Tahata, Kouji
2011
4 p. 279-286
artikel
134 SAS® Global Forum Waller, Jennifer L.
2018
4 p. 309-310
artikel
135 Scale depending variations of distribution and dynamic features of US Dollar/Georgian Lari exchange rate Matcharashvili, Teimuraz N.
2012
4 p. 281-289
artikel
136 Selection of copula model for inter-market dependence Gordeev, Vadim A.
2012
4 p. 315-325
artikel
137 Sergey Aivazian: A tribute Isakin, Maksim

4 p. 295
artikel
138 Sergey Aivazian in my life Demidenko, Eugene

4 p. 293-294
artikel
139 Shorter waiting time, better emergency healthcare: Forecasting Stockholm’s emergency department visits Ekström, Andreas
2018
4 p. 377-385
artikel
140 Some evidences and applications of the randomized response crossed model in a survey of sensitive population behaviors Pelle, Elvira

4 p. 229-239
artikel
141 Some improved additive randomized response models utilizing higher order moments ratios of scrambling variable Tarray, Tanveer A.
2015
4 p. 361-383
artikel
142 Special issue: 2nd International Business Analytics Conference Kadam, Shweta Dixit

4 p. 217-218
artikel
143 Spectral density of Markov switching models: Derivation, simulation studies and application Cheng, J.
2016
4 p. 277-291
artikel
144 STAT-HAWKERS at the Joint Statistical Meeting 2012, San Diego, CA Singh, Sarjinder
2012
4 p. 261-264
artikel
145 STAT-HAWKERS at the Joint Statistical Meeting 2018, Vancouver, Canada Singh, Sarjinder

4 p. 279-280
artikel
146 Statistical Models in Finance and Insurance Shemyakin, Arkady
2017
4 p. 303-304
artikel
147 Statistics in practical decision making Lipovetsky, Stan
2010
4 p. 217-218
artikel
148 Teaching Statistics 2009
4 p. 239-240
artikel
149 Teaching statistics = teaching thinking statistically Kozak, Marcin
2009
4 p. 275-279
artikel
150 Tests for skewness parameter of skew log Laplace distribution Khandeparkar, Pradnya

4 p. 331-346
artikel
151 The ensemble of neural network and gradient boosting for the prediction of customer profitability: A two-stage modeling approach Lam, Sunny
2018
4 p. 329-340
artikel
152 The Frequentistic and Bayesian quantile estimation for the maxima of sea levels Dudziński, Marcin
2014
4 p. 325-342
artikel
153 The influence of the constructivist perspective on the teaching of statistics and the importance of teaching with data Mends-Cole, S. Jonathan
2009
4 p. 241-246
artikel
154 The review of the open challenges in the IRB loan portfolio credit risk modeling Penikas, Henry

4 p. 371-388
artikel
155 The use of machine learning to predict the main factors that influence the continuous usage of mobile food delivery apps Rabaa’i, Ahmad A.

4 p. 247-258
artikel
156 Time-to-default analysis of mortgage portfolios Galloway, M.
2017
4 p. 359-367
artikel
157 Transmuted gamma-mixed Rayleigh distribution: Properties and estimation with bladder cancer data example Dey, Sanku
2016
4 p. 293-313
artikel
158 Tribute to Sergey Aivazian Carlevaro, Fabrizio

4 p. 289-291
artikel
159 Truncation invariant copulas for modeling directional dependence: Application to foreign currency exchange data Kim, Jong-Min
2014
4 p. 309-324
artikel
160 Unfold income myth: Revolution in income models with advanced machine learning techniques for better accuracy1 Liu, Lefei
2018
4 p. 319-327
artikel
161 Universally optimal second order neighbour designs Bhowmik, Arpan
2013
4 p. 309-314
artikel
162 Using magic in the teaching of probability and statistics Lesser, Lawrence M.
2009
4 p. 265-274
artikel
163 Warner in practice: How to incorporate true answers in a generalized Warner model Quatember, Andreas
2015
4 p. 441-451
artikel
164 What is stopping us from Implementing Society 5.0?: A mixed method study Agarwal, Vernika

4 p. 219-229
artikel
                             164 gevonden resultaten
 
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