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                             156 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 A bivariate F distribution with marginals on arbitrary numerator and denominator degrees of freedom, and related bivariate beta and t distributions El-Bassiouny, A. H.
2008
4 p. 465-481
artikel
2 A bivariate regression model for matched paired survival data: local influence and residual analysis Barriga, Gladys D. C.
2010
4 p. 477-495
artikel
3 A copula-based method of classifying individuals into binary disease categories using dependent biomarkers Islam, Shofiqul

4 p. 871-897
artikel
4 A COVINDEX based on a GAM beta regression model with an application to the COVID-19 pandemic in Italy Scrucca, Luca

4 p. 881-900
artikel
5 Additive model selection Amato, Umberto
2016
4 p. 519-564
artikel
6 A fuzzy logic approach to poverty analysis based on the Gini and Bonferroni inequality indices Giordani, Paolo
2010
4 p. 587-607
artikel
7 A generalization of the slashed distribution via alpha skew normal distribution Gui, Wenhao
2014
4 p. 547-563
artikel
8 A general piecewise multi-state survival model: application to breast cancer Ruiz-Castro, Juan Eloy

4 p. 813-843
artikel
9 A multiple inflated negative binomial hurdle regression model: analysis of the Italians’ tourism behaviour during the Great Recession Bocci, Chiara

4 p. 1109-1133
artikel
10 An alternative semiparametric model for spatial panel data Mínguez, Román

4 p. 669-708
artikel
11 An alternative to unrelated randomized response techniques with logistic regression analysis Hsieh, Shu-Hui
2016
4 p. 601-621
artikel
12 Analyzing the dynamic system model with discrete failure time distribution Singh, Bhupendra
2008
4 p. 521-542
artikel
13 An extension of the standardized randomized response technique to a multi-stage setup Quatember, Andreas
2012
4 p. 475-484
artikel
14 An omnibus lack of fit test in logistic regression with sparse data Liu, Ying
2012
4 p. 437-452
artikel
15 A nonparametric symmetry test for absolutely continuous bivariate copulas Erdely, Arturo
2010
4 p. 541-565
artikel
16 A note on the asymptotic behaviour of empirical likelihood statistics Adimari, Gianfranco
2010
4 p. 463-476
artikel
17 A Sarmanov family with beta and gamma marginal distributions: an application to the Bayes premium in a collective risk model Hernández-Bastida, Agustín
2012
4 p. 391-409
artikel
18 A split questionnaire survey design in the context of statistical matching Ali, Mehboob

4 p. 1219-1236
artikel
19 Assessing repeatability and reproducibility using hierarchical modeling: a case-study of distortion product otoacoustic emissions Brazzale, Alessandra R.
2010
4 p. 567-585
artikel
20 Assessing the effect of the amount of financial aids to Piedmont firms using the generalized propensity score Bia, Michela
2012
4 p. 485-516
artikel
21 A statistical method for synthesizing mediation analyses using the product of coefficient approach across multiple trials Huang, Shi
2016
4 p. 565-579
artikel
22 Asymptotic distribution of quasi-maximum likelihood estimation of dynamic panels using long difference transformation when both N and T are large Hsiao, Cheng
2016
4 p. 675-683
artikel
23 A test for bivariate normality with applications in microeconometric models Lucchetti, Riccardo
2013
4 p. 535-572
artikel
24 A two-sample test when data are contaminated Pommeret, Denys
2013
4 p. 501-516
artikel
25 A unifying view on some problems in probability and statistics Berti, Patrizia
2014
4 p. 483-500
artikel
26 A weighted χ2 test to detect the presence of a major change point in non-stationary Markov chains Micheletti, Alessandra

4 p. 899-912
artikel
27 Bayesian hierarchical statistical SIRS models Zhuang, Lili
2014
4 p. 601-646
artikel
28 Bayesian hierarchical statistical SIRS models Zhuang, Lili

4 p. 601-646
artikel
29 Bayesian inference for the Birnbaum–Saunders nonlinear regression model Farias, Rafael B. A.
2011
4 p. 423-438
artikel
30 Bayesian inference: the role of coherence to deal with a prior belief function Coletti, G.
2014
4 p. 519-545
artikel
31 Bayesian network structural learning from complex survey data: a resampling based approach Marella, Daniela

4 p. 981-1013
artikel
32 Bayesian spatial models with repeated measurements: with application to the herbaceous data analysis Sun, Xiaoqian
2009
4 p. 585-601
artikel
33 Benchmarking techniques for reconciling Bayesian small area models at distinct geographic levels Janicki, Ryan
2017
4 p. 557-581
artikel
34 BINAR(1) negative binomial model for bivariate non-stationary time series with different over-dispersion indices Sunecher, Yuvraj
2019
4 p. 625-653
artikel
35 Blending Bayesian and frequentist methods according to the precision of prior information with applications to hypothesis testing Bickel, David R.
2015
4 p. 523-546
artikel
36 Boosted-oriented probabilistic smoothing-spline clustering of series Iorio, Carmela

4 p. 1123-1140
artikel
37 Bootstrap confidence intervals for correlation between continuous repeated measures Shan, Guogen

4 p. 1175-1195
artikel
38 Box–Cox t random intercept model for estimating usual nutrient intake distributions Fumes-Ghantous, Giovana
2018
4 p. 715-734
artikel
39 Bridge closure in the road network of Lombardy: a spatio-temporal analysis of the socio-economic impacts Torti, Agostino

4 p. 901-923
artikel
40 Cluster-weighted $$t$$t-factor analyzers for robust model-based clustering and dimension reduction Subedi, Sanjeena
2015
4 p. 623-649
artikel
41 Comments on: model-based clustering and classification with non-normal mixture distributions García-Escudero, L. A.
2013
4 p. 459-461
artikel
42 Comments on “The power of monitoring: how to make the most of a contaminated multivariate sample” García-Escudero, L. A.
2017
4 p. 605-608
artikel
43 Community informed experimental design Mathews, Heather

4 p. 1141-1166
artikel
44 Context-specific independencies in hierarchical multinomial marginal models Nicolussi, Federica

4 p. 767-786
artikel
45 Control charts for monitoring the median in non-negative asymmetric data Sales, Lucas O. F.

4 p. 1037-1068
artikel
46 Correction: Boosted-oriented probabilistic smoothing-spline clustering of series Iorio, Carmela

4 p. 1377-1378
artikel
47 Correction to: Detecting economic insecurity in Italy: a latent transition modelling approach Giambona, Francesca

4 p. 847-848
artikel
48 Correction to: On the equivalence of conglomerability and disintegrability for unbounded random variables Schervish, Mark J.

4 p. 1069
artikel
49 Correction to: Semi‑supervised sentiment clustering on natural language Frigau, Luca

4 p. 1379-1380
artikel
50 Cultural tourism and temporary art exhibitions in Italy: a panel data analysis Di Lascio, F. Marta L.
2011
4 p. 519-542
artikel
51 Detecting economic insecurity in Italy: a latent transition modelling approach Giambona, Francesca

4 p. 815-846
artikel
52 Discussion of ‘Model-based clustering and classification with non-normal mixture distributions’ by Lee and McLachlan McNicholas, Paul D.
2013
4 p. 467-472
artikel
53 Discussion of “Model-based clustering and classification with non-normal mixture distributions” by S.X. Lee and G.J. McLachlan Galimberti, Giuliano
2013
4 p. 463-465
artikel
54 Discussion of “Model-based clustering with non-normal mixture distributions” by S. X. Lee and G. J. McLachlan Hennig, Christian
2013
4 p. 455-458
artikel
55 Discussion of “The power of monitoring: how to make the most of a contaminated multivariate sample” Sheather, Simon J.
2018
4 p. 625-629
artikel
56 Discussion of “The power of monitoring: how to make the most of a contaminated multivariate sample” Raymaekers, Jakob
2018
4 p. 589-594
artikel
57 Discussion of “The power of monitoring: how to make the most of a contaminated multivariate sample” Perrotta, Domenico

4 p. 641-649
artikel
58 Discussion of “The power of monitoring: how to make the most of a contaminated multivariate sample” Perrotta, Domenico

4 p. 641-649
artikel
59 Discussion of “The power of monitoring: how to make the most of a contaminated multivariate sample” by Andrea Cerioli, Marco Riani, Anthony C. Atkinson and Aldo Corbellini Heritier, Stephane
2017
4 p. 595-602
artikel
60 Discussion of “The power of monitoring: how to make the most of a contaminated multivariate sample” by Andrea Cerioli, Marco Riani, Anthony C. Atkinson and Aldo Corbellini Todorov, Valentin
2018
4 p. 631-639
artikel
61 Discussion of “The power of monitoring: how to make the most of a contaminated multivariate sample” by Andrea Cerioli, Marco Riani, Anthony C. Atkinson and Aldo Corbellini Croux, Christophe
2018
4 p. 621-623
artikel
62 Discussion of “The power of monitoring: how to make the most of a contaminated multivariate sample” by Andrea Cerioli, Marco Riani, Anthony C. Atkinson and Aldo Corbellini Agostinelli, Claudio
2017
4 p. 609-619
artikel
63 Discussion of “The power of monitoring: how to make the most of a contaminated multivariate sample” by Andrea Cerioli, Marco Riani, Anthony C. Atkinson and Aldo Corbellini Maronna, Ricardo A.
2017
4 p. 603-604
artikel
64 Distortion representations of multivariate distributions Navarro, Jorge

4 p. 925-954
artikel
65 Distribution-dependent and distribution-free confidence intervals for the variance Burch, Brent D.
2017
4 p. 629-648
artikel
66 Dynamic partially functional linear regression model Du, Jiang
2019
4 p. 679-693
artikel
67 Editorial: Forum on recent developments on finitely additive probabilities and coherence Barabesi, Lucio
2014
4 p. 473-476
artikel
68 Effective transfer entropy to measure information flows in credit markets Caserini, Nicoló Andrea

4 p. 729-757
artikel
69 Empirical likelihood intervals for the population mean and quantiles based on balanced ranked set samples Baklizi, Ayman
2008
4 p. 483-505
artikel
70 Empirical likelihood ratio in penalty form and the convex hull problem Baragona, Roberto
2017
4 p. 507-529
artikel
71 Estimating causal effects of community health financing via principal stratification Noirjean, Silvia

4 p. 1317-1350
artikel
72 Estimating health expectancy in presence of missing data: an application using HID survey Giudici, Cristina
2013
4 p. 517-534
artikel
73 Estimation of the volume under the ROC surface in presence of nonignorable verification bias To Duc, Khanh
2019
4 p. 695-722
artikel
74 Expressions for moments of order statistics and records from the skew-normal distribution in terms of multivariate normal orthant probabilities Salehi, Mahdi
2015
4 p. 547-568
artikel
75 Fitting survival data with penalized Poisson regression Perperoglou, Aris
2011
4 p. 451-462
artikel
76 Fréchet differentiability in statistical inference for time series Bednarski, Tadeusz
2010
4 p. 517-528
artikel
77 Generalized residuals and outlier detection for ordinal data with challenging data structures Iannario, Maria

4 p. 1197-1216
artikel
78 Identification of neighborhood clusters on data balanced by a poset-based approach Silan, Margherita

4 p. 1295-1316
artikel
79 Impact measurement and dimension reduction of auxiliary variables in calibration estimator using the Shapley decomposition Guandalini, Alessio

4 p. 759-784
artikel
80 Inference for non-probability samples under high-dimensional covariate-adjusted superpopulation model Pan, Yingli

4 p. 955-979
artikel
81 Influence diagnostics for polyhazard models in the presence of covariates Fachini, Juliana B.
2007
4 p. 413-433
artikel
82 Influence functions of the Spearman and Kendall correlation measures Croux, Christophe
2010
4 p. 497-515
artikel
83 Instrumental variables in structural equation modelling: an application on the impact of labour factors on health and standard of livings Giovanis, Eleftherios

4 p. 1083-1121
artikel
84 Interval estimation for the Sharpe Ratio when returns are not i.i.d. with special emphasis on the GARCH(1,1) process with symmetric innovations De Capitani, Lucio
2012
4 p. 517-537
artikel
85 Kernel regression for errors-in-variables problems in the circular domain Di Marzio, Marco

4 p. 1217-1237
artikel
86 Latent class models for ecological inference on voters transitions Colombi, Roberto
2016
4 p. 501-517
artikel
87 Local polynomial modelling of the conditional quantile for functional data Messaci, Fatiha
2015
4 p. 597-622
artikel
88 Methods to test for equality of two normal distributions Frank, Julian
2016
4 p. 581-599
artikel
89 Minimum density power divergence estimator for covariance matrix based on skew $$t$$t distribution Kim, Byungsoo
2014
4 p. 565-575
artikel
90 Model-assisted calibration with SCAD to estimated control for non-probability samples Liu, Zhan

4 p. 849-879
artikel
91 Model-based clustering and classification with non-normal mixture distributions Lee, Sharon X.
2013
4 p. 427-454
artikel
92 Modeling heavy-tailed, skewed and peaked uncertainty phenomena with bounded support García, C. B.
2011
4 p. 463-486
artikel
93 Modelling nonlinearities in commodity prices using smooth transition regression models with exogenous transition variables Fahmy, Hany
2014
4 p. 577-600
artikel
94 Modelling of lung cancer survival data for critical illness insurances Dȩbicka, Joanna
2019
4 p. 723-747
artikel
95 Modelling time series of counts with overdispersion Weiß, Christian H.
2008
4 p. 507-519
artikel
96 Modelling two way contingency tables with recursive logits and odds ratios Cazzaro, Manuela
2007
4 p. 435-453
artikel
97 Modified LASSO estimators for time series regression models with dependent disturbances Xue, Yujie

4 p. 845-869
artikel
98 Monitoring rare categories in sentiment and opinion analysis: a Milan mega event on Twitter platform Calissano, Anna

4 p. 787-812
artikel
99 Multiple seasonal cycles forecasting model: the Italian electricity demand Bernardi, Mauro
2015
4 p. 671-695
artikel
100 Multiple treatment comparisons in analysis of covariance with interaction Schaarschmidt, Frank
2017
4 p. 609-628
artikel
101 Multivariate power series interpoint distances Modarres, Reza

4 p. 955-982
artikel
102 Mutual association measures Borroni, Claudio G.
2019
4 p. 571-591
artikel
103 Nearest neighbors estimation for long memory functional data Wang, Lihong

4 p. 709-725
artikel
104 Networks as mediating variables: a Bayesian latent space approach Di Maria, Chiara

4 p. 1015-1035
artikel
105 Nonproportional random effects modelling of a neonatal unit operational patient pathways Adeyemi, Shola
2011
4 p. 507-518
artikel
106 Odds ratio for a single 2 × 2 table with correlated binomials for two margins Hwang, Jing-Shiang
2007
4 p. 483-497
artikel
107 On comparison of dispersion matrices of estimators under a constrained linear model Tian, Yongge
2016
4 p. 623-649
artikel
108 On some properties of equilibrium distributions of order n Nair, N. Unnikrishnan
2008
4 p. 453-464
artikel
109 On the efficiency of Gini’s mean difference Gerstenberger, Carina
2015
4 p. 569-596
artikel
110 On the equivalence of conglomerability and disintegrability for unbounded random variables Schervish, Mark J.

4 p. 501-518
artikel
111 On the equivalence of conglomerability and disintegrability for unbounded random variables Schervish, Mark J.
2014
4 p. 501-518
artikel
112 On the extension of sliced average variance estimation to multivariate regression Yoo, Jae Keun
2010
4 p. 529-540
artikel
113 On the use of area-wide models in the Euro-zone Sbrana, Giacomo
2007
4 p. 499-518
artikel
114 On the use of non-linear transformations in Stochastic Volatility models Tsiotas, Georgios
2008
4 p. 555-583
artikel
115 Parametric modeling of quantile regression coefficient functions with count data Frumento, Paolo

4 p. 1237-1258
artikel
116 PC priors for residual correlation parameters in one-factor mixed models Ventrucci, Massimo

4 p. 745-765
artikel
117 Perceived climate change risk and global green activism among young people D’Uggento, Angela Maria

4 p. 1167-1195
artikel
118 Performance of adaptive estimators in slowly varying parameter models Grillenzoni, Carlo
2007
4 p. 471-482
artikel
119 Population constraints on pooled surveys in demographic hazard modeling Rendall, Michael S.
2008
4 p. 519-539
artikel
120 Population size estimation based upon zero-truncated, one-inflated and sparse count data Böhning, Dankmar

4 p. 1197-1217
artikel
121 Practical implications of higher moments in risk management Grigoletto, Matteo
2011
4 p. 487-506
artikel
122 Quantile regression for count data: jittering versus regression coefficients modelling in the analysis of credits earned by university students after remote teaching Carcaiso, Viviana

4 p. 1061-1082
artikel
123 Quantitative central limit theorems for Mexican needlet coefficients on circular Poisson fields Durastanti, Claudio
2016
4 p. 651-673
artikel
124 Quantity quantiles linear regression Radaelli, Paolo
2007
4 p. 455-469
artikel
125 Random walks and the number theoretic density Sudderth, William D.
2014
4 p. 477-482
artikel
126 Reconciliation of systems of time series according to a growth rates preservation principle Fonzo, Tommaso Di
2015
4 p. 651-669
artikel
127 Reduction of bias and skewness with applications to second order accuracy Withers, Christopher S.
2011
4 p. 439-450
artikel
128 Regression for compositions based on a generalization of the Dirichlet distribution Graf, Monique

4 p. 913-936
artikel
129 Rejoinder to the discussion of “Model-based clustering and classification with non-normal mixture distributions” Lee, Sharon X.
2013
4 p. 473-479
artikel
130 Rejoinder to the discussion of “The power of monitoring: how to make the most of a contaminated multivariate sample” Cerioli, Andrea
2018
4 p. 661-666
artikel
131 Robust nonparametric tests for the two-sample location problem Fried, Roland
2011
4 p. 409-422
artikel
132 Robust parameter estimation for the Ornstein–Uhlenbeck process Rieder, Sonja
2012
4 p. 411-436
artikel
133 Robust skew-t factor analysis models for handling missing data Wang, Wan-Lun
2017
4 p. 649-672
artikel
134 Semi-supervised sentiment clustering on natural language texts Frigau, Luca

4 p. 1239-1257
artikel
135 Sensitivity analysis for unobserved confounding in causal mediation analysis allowing for effect modification, censoring and truncation Lindmark, Anita

4 p. 785-814
artikel
136 Single index quantile regression for censored data Christou, Eliana
2019
4 p. 655-678
artikel
137 Sliced inverse median difference regression Babos, Stephen

4 p. 937-954
artikel
138 Small area estimation based on M-quantile models in presence of outliers in auxiliary variables Marchetti, Stefano
2017
4 p. 531-555
artikel
139 Special issue on Advanced statistical modeling and causal inference with complex data for better decision making Conversano, Claudio

4 p. 1057-1060
artikel
140 Statistical and probabilistic analysis of interarrival and waiting times of Internet2 anomalies Kokoszka, Piotr

4 p. 727-744
artikel
141 Student-t censored regression model: properties and inference Arellano-Valle, Reinaldo B.
2012
4 p. 453-473
artikel
142 Testing equality of standardized generalized variances of k multivariate normal populations with arbitrary dimensions Najarzadeh, Dariush
2019
4 p. 593-623
artikel
143 Testing for an excessive number of zeros in time series of bounded counts Kim, Hee-Young
2018
4 p. 689-714
artikel
144 Testing structural breaks versus long memory with the Box–Pierce statistics: a Monte Carlo study Bisaglia, Luisa
2008
4 p. 543-553
artikel
145 The association between multidose vaccinations and death: comparing case series methods when the first exposure changes the general risk of an event Kuhnert, Ronny
2013
4 p. 573-587
artikel
146 The high school effect on students’ mobility choices Usala, Cristian

4 p. 1259-1293
artikel
147 The policy is always greener: impact heterogeneity of Covid-19 vaccination lotteries in the US. Grossi, Giulio

4 p. 1351-1375
artikel
148 The power of (extended) monitoring in robust clustering Farcomeni, Alessio
2018
4 p. 651-660
artikel
149 The power of monitoring: how to make the most of a contaminated multivariate sample Cerioli, Andrea
2017
4 p. 559-587
artikel
150 The sufficiency of the evidence, the relevancy of the evidence, and quantifying both with a single number Bickel, David R.

4 p. 1157-1174
artikel
151 The variation of the posterior variance and Bayesian sample size determination Martin, Jörg

4 p. 1135-1155
artikel
152 Threshold selection for extremes under a semiparametric model Gonzalez, Juan
2013
4 p. 481-500
artikel
153 Transformation approaches of linear random-effects models Tian, Yongge
2017
4 p. 583-608
artikel
154 Transition models for count data: a flexible alternative to fixed distribution models Berger, Moritz

4 p. 1259-1283
artikel
155 Wavelet regression estimations with strong mixing data Kou, Junke
2018
4 p. 667-688
artikel
156 Zero-one augmented beta and zero-inflated discrete models with heterogeneous dispersion for the analysis of student academic performance Pinheiro, Hildete P.
2019
4 p. 749-767
artikel
                             156 gevonden resultaten
 
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