The two-sample t-test with a known ratio of variances
Statistical Methodology, Volume 4, Issue 4, October 2007, Pages 508-514 | Schechtman, E.; Sherman, M.
An R-square coefficient based on final prediction error
Statistical Methodology | Rousson, V.; Gosoniu, N.F.
Bayesian semi-supervised learning with support vector machine
Statistical Methodology | Chakraborty, S.
Outliers detection with the minimum covariance determinant estimator in practice
Statistical Methodology, Volume 6, Issue 4, July 2009, Pages 363-379 | Fauconnier, C.; Haesbroeck, G.
A Poisson-binomial relative error uniform bound
Statistical Methodology | Teerapabolarn, K.
A note on the linearly weighted kappa coefficient for ordinal scales
Statistical Methodology, Volume 6, Issue 2, March 2009, Pages 157-163 | Vanbelle, S.; Albert, A.
Sample size calculation for testing non-inferiority and equivalence under Poisson distribution
Statistical Methodology, Volume 2, Issue 1, March 2005, Pages 37-48 | Lui, K.J.
Characterization of continuous distributions by properties of conditional variance
Statistical Methodology | Nair, N.U.; Sudheesh, K.K.
Data quality: A statistical perspective
Statistical Methodology, Volume 3, Issue 2, April 2006, Pages 137-173 | Karr, A.F.; Sanil, A.P.; Banks, D.L.
A note on Cohen's weighted kappa coefficient of agreement with linear weights
Statistical Methodology, Volume 6, Issue 5, September 2009, Pages 439-446 | Mielke, P.W.; Berry, K.J.
Tests of fit for normal inverse Gaussian distributions
Statistical Methodology | Fragiadakis, K.; Karlis, D.; Meintanis, S.G.
The use of GARCH models in VaR estimation
Statistical Methodology, Volume 1, Issue 1-2, December 2004, Pages 105-128 | Angelidis, T.; Benos, A.; Degiannakis, S.
Sample size calculation based on risk ratio under multiple matching
Statistical Methodology, Volume 3, Issue 4, October 2006, Pages 406-415 | Lui, K.J.
First moment approximations for order statistics from the extreme value distribution
Statistical Methodology, Volume 4, Issue 2, April 2007, Pages 196-203 | Fard, M.N.P.; Holmquist, B.
A comparison of two boxplot methods for detecting univariate outliers which adjust for sample size and asymmetry
Statistical Methodology | Carter, N.J.; Schwertman, N.C.; Kiser, T.L.
Estimation of the generalized logistic distribution parameters: Comparative study
Statistical Methodology, Volume 6, Issue 3, May 2009, Pages 262-279 | Alkasasbeh, M.R.; Raqab, M.Z.
A heteroscedastic structural errors-in-variables model with equation error
Statistical Methodology, Volume 6, Issue 4, July 2009, Pages 408-423 | Patriota, A.G.; Bolfarine, H.; de Castro, M.
Hierarchical overdispersed Poisson model with macrolevel autocorrelation
Statistical Methodology | Liu, J.; Dey, D.K.
Extended Weibull type distribution and finite mixture of distributions
Statistical Methodology, Volume 3, Issue 3, July 2006, Pages 224-233 | Al-Saleh, J.A.; Agarwal, S.K.
Kumaraswamy's distribution: A beta-type distribution with some tractability advantages
Statistical Methodology, Volume 6, Issue 1, January 2009, Pages 70-81 | Jones, M.C.
Penalized optimal scoring for the classification of multi-dimensional functional data
Statistical Methodology | Ando, T.
The generalized von Mises distribution
Statistical Methodology | Gatto, R.; Jammalamadaka, S.R.
Credit risk modeling based on survival analysis with immunes
Statistical Methodology | Beran, J.; Djaidja, A.Y.K.
Transformation of the bathtub failure rate data in reliability for using Weibull-model analysis
Statistical Methodology | Mudholkar, G.S.; Asubonteng, K.O.; Hutson, A.D.
A discrete inverse Weibull distribution and estimation of its parameters
Statistical Methodology | Jazi, M.A.; Lai, C.D.; Alamatsaz, M.H.
Güncelleme:10.03.2010 19:42:46