Content
April 2011, Volume 38, Issue 4
- 867-868 The Concise Encyclopedia of Statistics
by Andreas Rosenblad - 869-869 Asymptotic Theory of Statistics and Probability
by Pieter Bastiaan Ober
January 2011, Volume 38, Issue 4
- 799-815 Temporal disaggregation and restricted forecasting of multiple population time series
by E. Silva & V. M. Guerrero & D. Peña - 833-850 Choosing appropriate covariance matrices in a nonparametric analysis of factorials in block designs
by A. Schörgendorfer & L. V. Madden & A. C. Bathke - 851-863 Full Bayesian significance test for extremal distributions
by Diego F. de Bernardini & Laura L.R. Rifo
November 2011, Volume 38, Issue 4
- 647-660 Violent crime and incentives in the long-run: evidence from England and Wales
by George Saridakis - 675-682 Semiparametric analysis of transformation models with doubly censored data
by Pao-Sheng Shen - 695-704 Spatio-temporal functional regression on paleoecological data
by Liliane Bel & Avner Bar-Hen & R�my Petit & Rachid Cheddadi - 705-716 Random change point models: investigating cognitive decline in the presence of missing data
by G. Muniz Terrera & A. van den Hout & F. E. Matthews - 735-744 Testing for heteroskedasticity in the tobit and probit models
by Darryl Holden - 745-767 Structural equation models for area health outcomes with model selection
by Peter Congdon
February 2011, Volume 38, Issue 4
- 769-783 Nonparametric-likelihood inference based on cost-effectively-sampled-data
by Albert Vexler & Shuling Liu & Enrique F. Schisterman - 785-797 Confidence bands for the difference of two survival functions under the additive risk model
by Jimin Lee & Seunggeun Hyun - 817-832 Bivariate transition model for analysing ordinal and nominal categorical responses: an application to the Labour Force Survey data
by Z. Rezaei Ghahroodi & M. Ganjali & F. Harandi & D. Berridge
December 2011, Volume 38, Issue 4
- 661-673 Effect of measurement error and autocorrelation on the X¯ chart
by Antonio F. B. Costa & Philippe Castagliola - 683-693 Tests for symmetry with right censoring
by Ehab F. Abd-Elfattah & Ronald W. Butler - 717-734 A two-phase method for controlling Erlang-failure processes with high reliability
by Bi-Min Hsu & Ming-Hung Shu
October 2011, Volume 38, Issue 3
- 437-450 Testing the difference between two Kolmogorov--Smirnov values in the context of receiver operating characteristic curves
by Wojtek J. Krzanowski & David J. Hand - 451-463 Weighted bagging: a modification of AdaBoost from the perspective of importance sampling
by Qingzhao Yu - 465-477 Interval shrinkage estimators
by Vasyl Golosnoy & Roman Liesenfeld
November 2011, Volume 38, Issue 3
- 479-489 A class of confidence intervals for sequential phase II clinical trials with binary outcome
by Shande Chen - 491-500 Bootstrap study of parameter estimates for nonlinear Richards growth model through genetic algorithm
by Himadri Ghosh & M. A. Iquebal & Prajneshu - 501-512 Design issues for population growth models
by J. López Fidalgo & I. M. Ortiz Rodr�guez & Weng Kee Wong - 513-532 Influence diagnostics on the coefficient of variation of elliptically contoured distributions
by Marco Riquelme & V�ctor Leiva & Manuel Galea & Antonio Sanhueza - 533-551 Comparison of the finite mixture of ARMA-GARCH, back propagation neural networks and support-vector machines in forecasting financial returns
by Altaf Hossain & Mohammed Nasser - 553-570 Robustness of the EWMA and the combined X¯ --EWMA control charts with variable sampling intervals to non-normality
by Yu-Chang Lin & Chao-Yu Chou - 571-580 Extending the Bradley--Terry model for paired comparisons to accommodate weights
by Nasir Abbas & Muhammad Aslam - 581-589 Nonparametric mixture analysis of rock crab of the genus Leptograpsus
by Reza Pakyari - 591-603 Bayesian parametric accelerated failure time spatial model and its application to prostate cancer
by Jiajia Zhang & Andrew B. Lawson - 605-617 On the restricted almost unbiased estimators in linear regression
by Jianwen Xu & Hu Yang - 619-629 A frailty modeling approach for parental effects in animal breeding
by Suely Ruiz Giolo & Clarice Garcia Borges Dem�trio - 631-646 Nonparametric approach to rank global petroleum business opportunities
by R. K. Mishra & Zillur Rahman
February 2011, Volume 38, Issue 2
- 431-431 Book Review
by Andrew Robinson - 433-434 Book Review
by A. C. Brooms - 435-435 Book Review
by Kassim S. Mwitondi
September 2011, Volume 38, Issue 2
- 215-232 Marginal correlation from an extended random-effects model for repeated and overdispersed counts
by Tony Vangeneugden & Geert Molenberghs & Geert Verbeke & Clarice G.B. Dem�trio - 233-245 A control chart based on sample ranges for monitoring the covariance matrix of the multivariate processes
by A. F.B. Costa & M. A.G. Machado - 247-259 Assessing cumulative logit models via a score test in random effect models
by Kuo-Chin Lin - 261-271 α-stable laws for noncoding regions in DNA sequences
by N. Crato & R. R. Linhares & S. R.C. Lopes - 273-285 Estimation of hazard of death in vertically transmitted HIV-1-infected children for doubly censored failure times and fixed covariates
by T. Banerjee & G. Grover & T. Pensi & D. Banerjee - 287-299 Multicollinearity and financial constraint in investment decisions: a Bayesian generalized ridge regression
by Aquiles E.G. Kalatzis & Camila F. Bassetto & Carlos R. Azzoni - 301-308 The comparison of enterprise bankruptcy forecasting method
by Xu Xiaosi & Chen Ying & Zheng Haitao - 309-325 Optimal design of accelerated degradation tests based on Wiener process models
by Heonsang Lim & Bong-Jin Yum - 327-342 A multivariate descriptor method for change-point detection in nonlinear time series
by P. P. Balestrassi & A. P. Paiva & A. C. Zambroni de Souza & J. B. Turrioni & Elmira Popova - 369-382 Time-varying vector autoregressive models with stochastic volatility
by K. Triantafyllopoulos - 383-398 Detecting mean increases in Poisson INAR(1) processes with EWMA control charts
by Christian H. Weiß
October 2011, Volume 38, Issue 2
- 343-368 Local influence analysis for regression models with scale mixtures of skew-normal distributions
by C. B. Zeller & V. H. Lachos & F. E. Vilca-Labra - 399-419 Simultaneous semi-sequential testing of dual alternatives for pattern recognition
by Amitava Mukherjee & Barendra Purkait - 421-430 Outlier identification and robust parameter estimation in a zero-inflated Poisson model
by Jun Yang & Min Xie & Thong Ngee Goh
2011, Volume 38, Issue 1
- 1-1 Editorial
by Robert Aykroyd - 3-13 Non-stationary partition modeling of geostatistical data for malaria risk mapping
by Laura Gosoniu & Penelope Vounatsou - 15-27 A unified approach of meta-analysis: application to an antecedent biomarker study in Alzheimer's disease
by Chengjie Xiong & Gerald van Belle & Kejun Zhu & J. Philip Miller & John Morris - 29-46 Three-dimensional Bayesian image analysis and confocal microscopy
by Fahimah Al-Awadhi & Merrilee Hurn & Christopher Jennison - 47-55 Generating multivariate continuous data via the notion of nearest neighbors
by Hakan Demirtas & Donald Hedeker - 57-70 A flexible model for survival data with a cure rate: a Bayesian approach
by Vicente Cancho & Josemar Rodrigues & Mario de Castro - 71-85 Fractional integration and impulse responses: a bivariate application to real output in the USA and four Scandinavian countries
by Guglielmo Maria Caporale & Luis Gil-Alana - 87-112 Double-sampling control charts for attributes
by Aurelia De Araujo Rodrigues & Eugenio Kahn Epprecht & Maysa Sacramento De Magalhaes - 113-126 A robust diagnostic plot for explanatory variables under model mis-specification
by Li-Chu Chien - 127-144 Bayesian and likelihood inference for cure rates based on defective inverse Gaussian regression models
by Jeremy Balka & Anthony Desmond & Paul McNicholas - 145-159 The use of variance components for the assessment of outcome measures in rheumatology
by E. J. Allen & V. T. Farewell - 161-174 Comparison of normal probability plots and dot plots in judging the significance of effects in two level factorial designs
by Guillermo de Leon & Pere Grima & Xavier Tort-Martorell - 175-182 Spatio-temporal analysis of a plant disease in a non-uniform crop: a Monte Carlo approach
by Bin Li & R. S. Sanderlin & Rebecca Melanson & Qingzhao Yu - 183-193 Predicting rainy seasons: quantifying the beliefs of prophets
by J. A. A. Andrade & J. P. Gosling - 195-206 Inflation uncertainty and economic growth: evidence from the LAD ARCH model
by Ahmad Zubaidi Baharumshah & Nor Aishah Hamzah & Shamsul Rijal Muhammad Sabri - 207-214 Robustness without rank order statistics
by Paul Mielke & Kenneth Berry & Janis Johnston
2010, Volume 37, Issue 12
- 1961-1977 Why is not design of experiments widely used by engineers in Europe?
by Martin Tanco & Elisabeth Viles & Maria Jesus Alvarez & Laura Ilzarbe - 1979-1990 The structural Sharpe model under t-distributions
by Manuel Galea & David Cademartori & Filidor Vilca - 1991-2013 A combined control scheme for monitoring the frequency and size of an attribute event
by Yafen Liu & Zhen He & M. Shamsuzzaman & Zhang Wu - 2015-2026 Reparameterization of nonlinear statistical models: a case study
by Gavin Ross & C. Sarada - 2027-2041 Electricity consumption prediction with functional linear regression using spline estimators
by Jaromir Antoch & Lubos Prchal & Maria Rosaria De Rosa & Pascal Sarda - 2043-2056 Optimal choice of sample fraction in univariate financial tail index estimation
by Chin Wen Cheong - 2057-2071 Notes on odds ratio estimation for a randomized clinical trial with noncompliance and missing outcomes
by Kung-Jong Lui & Kuang-Chao Chang - 2073-2087 A side sensitive modified group runs control chart to detect shifts in the process mean
by M. P. Gadre & K. A. Joshi & R. N. Rattihalli - 2089-2100 Evaluation of multivariate surveillance
by Marianne Frisen & Eva Andersson & Linus Schioler - 2101-2116 Simple and multiple correspondence analysis for ordinal-scale variables using orthogonal polynomials
by Rosaria Lombardo & Eric Beh - 2117-2118 Book Review
by Tobias Verbeke - 2119-2120 Statistics Using SPSS: An Integrative Approach, second edition
by Faisel Yunus - 2121-2121 Data Manipulation with R
by A. C. Brooms
2010, Volume 37, Issue 11
- 1785-1793 Double logistic curve in regression modeling
by Stan Lipovetsky - 1795-1813 A Phase I nonparametric Shewhart-type control chart based on the median
by M. A. Graham & S. W. Human & S. Chakraborti - 1815-1824 A threshold based approach to merge data in financial risk management
by Silvia Figini & Paolo Giudici & Pierpaolo Uberti - 1825-1845 Analysis of mutual funds' management styles: a modeling, ranking and visualizing approach
by Claudio Conversano & Domenico Vistocco - 1847-1862 Independent exploratory factor analysis with application to atmospheric science data
by Steffen Unkel & Nickolay Trendafilov & Abdel Hannachi & Ian Jolliffe - 1863-1874 Bayesian tests for unit root and multiple breaks
by Man-Suk Oh & Dong Wan Shin - 1875-1890 New scrambled response models for estimating the mean of a sensitive quantitative character
by Giancarlo Diana & Pier Francesco Perri - 1891-1910 Clustering probability distributions
by Tai Vo Van & T. Pham-Gia - 1911-1929 Early warning CUSUM plans for surveillance of negative binomial daily disease counts
by Ross Sparks & Tim Keighley & David Muscatello - 1931-1945 Regularity in individual shopping trips: implications for duration models in marketing
by Govert Bijwaard - 1947-1959 Data disaggregation procedures within a maximum entropy framework
by Rosa Bernardini Papalia
2010, Volume 37, Issue 10
- 1605-1624 Identification of multiple influential observations in logistic regression
by A. A. M. Nurunnabi & A.H.M. Rahmatullah Imon & M. Nasser - 1625-1636 The generalized exponential cure rate model with covariates
by Nandini Kannan & Debasis Kundu & P. Nair & R. C. Tripathi - 1637-1659 Concurrent processing of heteroskedastic vector-valued mixture density models
by Ralf Ostermark - 1661-1679 Random effects regression models for count data with excess zeros in caries research
by D. Todem & Y. Zhang & A. Ismail & W. Sohn - 1681-1694 Evaluations of FWER-controlling methods in multiple hypothesis testing
by Yi-Ting Hwang & Jia-Jung Lai & Shyh-Tyan Ou - 1695-1701 The effect of interaction and rounding error in two-way ANOVA: example of impact on testing for normality
by Jesper Ryden & Sven Erick Alm - 1703-1715 A Bayesian method for query approximation
by Douglas Jones & Francis Mendez Mediavilla - 1717-1728 Control charts for fraction nonconforming in a bivariate binomial process
by Jing-Er Chiu & Tsen-I Kuo - 1729-1747 Estimating precision, repeatability, and reproducibility from Gaussian and non- Gaussian data: a mixed models approach
by Assam Pryseley & Koen Mintiens & Katia Knapen & Yves Van der Stede & Geert Molenberghs - 1749-1759 A Bayesian algorithm for sample size determination for equivalence and non-inferiority test
by Jie Wang & James Stamey - 1761-1777 Monitoring heterogeneous serially correlated usage behavior in subscription-based services
by Y. Samimi & A. Aghaie - 1779-1779 Modeling with Data
by Pieter Bastiaan Ober - 1781-1782 Analysis of Variance and Covariance
by Mukesh Srivastava - 1783-1784 Discrete Fourier Analysis and Wavelets
by Jennifer Klapper
2010, Volume 37, Issue 9
- 1425-1438 A new unit root test with two structural breaks in level and slope at unknown time
by Paresh Kumar Narayan & Stephan Popp - 1439-1453 Bayesian analysis for incomplete multi-way contingency tables with nonignorable nonresponse
by Yousung Park & Bo-Seung Choi - 1455-1472 Model selection in regression based on pre-smoothing
by Marc Aerts & Niel Hens & Jeffrey Simonoff - 1473-1486 The effect of spillover on the Granger causality test
by Panagiotis Mantalos & Ghazi Shukur - 1487-1498 Nonparametric bootstrapping for hierarchical data
by Shiquan Ren & Hong Lai & Wenjing Tong & Mostafa Aminzadeh & Xuezhang Hou & Shenghan Lai - 1499-1507 On the linear degradation model with multiple failure modes
by Firoozeh Haghighi & Mikhail Nikulin - 1509-1522 Testing for varying zero-inflation and dispersion in generalized Poisson regression models
by Feng-Chang Xie & Jin-Guan Lin & Bo-Cheng Wei - 1523-1535 Modeling survival in childhood cancer studies using two-stage non-mixture cure models
by Claire Weston & John Thompson - 1537-1546 A study of Bayesian local robustness with applications in actuarial statistics
by Emilio Gomez-Deniz & Enrique Calderin-Ojeda - 1547-1554 Four tests of fit for the beta-binomial distribution
by D. J. Best & J. C. W. Rayner & O. Thas - 1555-1568 Regression in a copula model for bivariate count data
by Aristidis Nikoloulopoulos & Dimitris Karlis - 1569-1584 ARFIMA processes and outliers: a weighted likelihood approach
by Claudio Agostinelli & Luisa Bisaglia - 1585-1603 The Sichel model and the mixing and truncation order
by Xavier Puig & Josep Ginebra & Marti Font
2010, Volume 37, Issue 8
- 1249-1263 The monitoring of simple linear regression profiles with two observations per sample
by Mahmoud Mahmoud & J. P. Morgan & William Woodall - 1265-1273 A generalization of the uniform association model for assessing rater agreement in ordinal scales
by Alireza Akbarzadeh Bagheban & Farid Zayeri - 1275-1281 Estimating crop yield via Gaussian quadrature
by A. Bhattacharya - 1283-1297 Monitoring imprecise fraction of nonconforming items using p control charts
by Ming-Hung Shu & Hsien-Chung Wu - 1299-1318 Treating unobserved heterogeneity in PLS path modeling: a comparison of FIMIX-PLS with different data analysis strategies
by Marko Sarstedt & Christian Ringle - 1319-1334 Measurement of bivariate attributes using a novel statistical model
by JrJung Lyu & MingNan Chen - 1335-1354 On implementation of the Gibbs sampler for estimating the accuracy of multiple diagnostic tests
by Fabio Principato & Angela Vullo & Domenica Matranga - 1355-1368 Bayesian outlier analysis in binary regression
by Aparecida Souza & Helio Migon - 1369-1379 Design of a time-truncated double sampling plan for a general life distribution
by M. Aslam & C. -H. Jun & M. Ahmad - 1381-1397 Testing for stationarity in large panels with cross-dependence, and US evidence on unit labor cost
by Matei Demetrescu & Uwe Hassler & Adina Tarcolea - 1399-1406 A real survival analysis application via variable selection methods for Cox's proportional hazards model
by Emmanouil Androulakis & Christos Koukouvinos & Kalliopi Mylona & Filia Vonta - 1407-1416 An investigation of duration dependence in the American stock market cycle
by Terence Tai-Leung Chong & Zimu Li & Haiqiang Chen & Melvin Hinich - 1417-1418 Handbook of multilevel analysis
by Dougal Hutchison - 1419-1420 Model selection and model averaging
by Ilia Vonta - 1421-1422 Software for data analysis
by John Shade
2010, Volume 37, Issue 7
- 1067-1087 Normalization of the origin-shifted exponential distribution for control chart construction
by Shih-Chou Kao - 1089-1111 Detection of changes in a random financial sequence with a stable distribution
by Dong Han & Fugee Tsung & Yanting Li & Jinguo Xian - 1113-1121 Bayesian statistical inference for start-up demonstration tests with rejection of units upon observing d failures
by David Scollnik - 1123-1135 Parameter changes in GARCH model
by Kosei Fukuda - 1137-1152 Total least squares solution for compositional data using linear models
by Eva Fiserova & Karel Hron - 1153-1171 Bayesian discrete latent spatial modeling of crack initiation in orthopaedic hip replacement bone cement
by Elizabeth Heron & Cathal Walsh - 1173-1191 Examining the interrelation dynamics between option and stock markets using the Markov-switching vector error correction model
by Ming-Yuan Leon Li & Chun-Nan Chen - 1193-1211 On a goodness-of-fit test for normality with unknown parameters and type-II censored data
by Claudia Castro-Kuriss & Diana Kelmansky & Victor Leiva & Elena Martinez - 1213-1230 Modeling sensitivity and specificity with a time-varying reference standard within a longitudinal setting
by Qin Yu & Wan Tang & Sue Marcus & Yan Ma & Hui Zhang & Xin Tu - 1231-1247 Runs rules schemes for monitoring process variability
by Demetrios Antzoulakos & Athanasios Rakitzis
2010, Volume 37, Issue 6
- 881-891 Baseball players with the initial “K” do not strike out more often
by B. D. McCullough & Thomas McWilliams - 893-909 Analysis and modelling of wind speed in New York
by Jurate Saltyte Benth & Fred Espen Benth - 911-922 Bias from the use of generalized estimating equations to analyze incomplete longitudinal binary data
by Andrew Copas & Shaun Seaman - 923-943 Multiple linear regression model with stochastic design variables
by M. Qamarul Islam & Moti Tiku - 945-953 Bayesian and DEA efficiency modelling: an application to hospital foodservice operations
by K. M. Matawie & A. Assaf - 955-967 Non-normality and combined double sampling and variable sampling interval [image omitted] control charts
by Chau-Chen Torng & Chun-Chieh Tseng & Pei-Hsi Lee - 969-981 On the bivariate negative binomial regression model
by Felix Famoye - 983-997 How to compare interpretatively different models for the conditional variance function
by Ilmari Juutilainen & Juha Roning - 999-1013 On improvement in estimating population mean in stratified random sampling
by Nursel Koyuncu & Cem Kadilar - 1015-1025 Semiparametric analysis for case-control studies: a partial smoothing spline approach
by Young-Ju Kim - 1027-1041 Space-time correlation analysis: a comparative study
by Sandra De Iaco - 1043-1058 Extended Bayesian model averaging for heritability in twin studies
by Miao-Yu Tsai - 1059-1060 Analysis of variance and covariance: how to choose and construct models for the life sciences
by Mukesh Srivastava - 1061-1061 International migration in Europe
by Juana Sanchez - 1063-1063 Introduction to modern time series analysis
by Juana Sanchez
2010, Volume 37, Issue 5
- 707-724 Search boundaries of the truncated discrete sequential test
by Y. H. Michlin & G. Grabarnik - 725-738 Latent class piecewise linear trajectory modelling for short-term cognition responses after chemotherapy for breast cancer patients
by M. I. Rolfe & K. Mengersen & G. Beadle & K. Vearncombe & B. Andrew & H. L. Johnson & C. Walsh - 739-748 Lag order selection for an optimal autoregressive covariance matrix estimator
by Marco Morales - 749-766 Extension of model-based classification for binary data when training and test populations differ
by J. Jacques & C. Biernacki - 767-778 A permutation test for multivariate data with grouped components
by Hyo-Il Park & Seung-Man Hong - 779-789 A statistical algorithm for detecting cognitive plateaus in Alzheimer's disease
by Hyonggin An & Roderick Little & Andrea Bozoki - 791-805 GMM in linear regression for longitudinal data with multiple covariates measured with error
by Zhiguo Xiao & Jun Shao & Mari Palta - 807-819 Robust regression for estimating the Burr XII parameters with outliers
by Fu-Kwun Wang & Yung-Fu Cheng - 821-831 Competing risks, left truncation and late entry effect in A-bomb survivors cohort
by J. Anzures-Cabrera & J. L. Hutton - 833-846 Flexible estimation of serial correlation in nonlinear mixed models
by Jan Serroyen & Geert Molenberghs & Marc Aerts & Ellen Vloeberghs & Peter Paul De Deyn & Geert Verbeke - 847-864 Time-varying autoregressive conditional duration model
by Adriana Bortoluzzo & Pedro Morettin & Clelia Toloi - 865-880 Longitudinal Poisson modeling: an application for CD4 counting in HIV-infected patients
by Emilio Augusto Coelho-Barros & Jorge Alberto Achcar & Josmar Mazucheli
2010, Volume 37, Issue 4
- 529-536 The cross-product ratio in bivariate lognormal and gamma distributions, with an application to non-randomized trials
by Paul Baxter & Paul Marchant - 537-554 The diagnostic accuracy of a composite index increases as the number of partitions of the components increases and when specific weights are assigned to each component
by Georgia Kourlaba & Demosthenes Panagiotakos - 555-566 Time truncated acceptance sampling plans for generalized exponential distribution
by Muhammad Aslam & Debasis Kundu & Munir Ahmad - 567-575 Geometric sample size determination in Bayesian analysis
by M. M. Nassar & S. M. Khamis & S. S. Radwan - 577-589 The eigenstructure of block-structured correlation matrices and its implications for principal component analysis
by Jorge Cadima & Francisco Lage Calheiros & Isabel Preto - 591-615 Approximate inference in heteroskedastic regressions: A numerical evaluation
by Francisco Cribari-Neto & Maria da Gloria Lima - 617-627 On MLEs of the parameters of a modified Weibull distribution for progressively type-2 censored samples
by H. Jiang & M. Xie & L. C. Tang - 629-650 An optimal sign test for one-sample bivariate location model using an alternative bivariate ranked-set sample
by Hani Samawi & Mohammed Al-Haj Ebrahem & Noha Al-Zubaidin - 651-666 Small area estimation of mean price of habitation transaction using time-series and cross-sectional area-level models
by Luis Nobre Pereira & Pedro Simoes Coelho - 667-677 Quantifying R2 bias in the presence of measurement error
by Karl Majeske & Terri Lynch-Caris & Janet Brelin-Fornari - 679-689 The effectiveness of coach turnover and the effect on home team advantage, team quality and team ranking
by Anne-Line Balduck & Anita Prinzie & Marc Buelens - 691-701 Random effects models for operational patient pathways
by Shola Adeyemi & Thierry Chaussalet & Haifeng Xie & Md Asaduzaman - 703-703 Generalized linear models for insurance data
by Søren Feodor Nielsen - 705-706 Bayesian methods for data analysis, third edition
by Z.Q. John Lu
2010, Volume 37, Issue 3
- 359-374 Liquidity spreads in the corporate bondmarket: Estimation using a semi-parametric model
by Jung Hsien Chang & Mao Wei Hung - 375-390 Construction and selection of tightened-normal-tightened variables sampling scheme of type TNTVSS (n1, n2; k)
by D. Senthilkumar & D. Muthuraj - 391-404 On the comparison of the Fisher information of the log-normal and generalized Rayleigh distributions
by Fawziah Alshunnar & Mohammad Raqab & Debasis Kundu - 405-414 A double acceptance sampling plan for generalized log-logistic distributions with known shape parameters
by Muhammad Aslam & Chi-Hyuck Jun - 415-424 Le Cam theorem on interval division by randomly chosen points: Pedagogical explanations and application to temporal cluster detection
by Christophe Demattei - 425-433 Interval estimation of a small proportion via inverse sampling
by Ling-Yau Chan & Rahul Mukerjee - 435-451 On the skew-normal calibration model
by C. C. Figueiredo & H. Bolfarine & M. C. Sandoval & C. R. O. P. Lima - 453-460 A variables repetitive group sampling plan under failure-censored reliability tests for Weibull distribution
by Chi-Hyuck Jun & Hyeseon Lee & Sang-Ho Lee & S. Balamurali - 461-472 A note on some modified Pulak and Al-Sultan's model
by Chung-Ho Chen - 473-487 A skew-normal factor model for the analysis of student satisfaction towards university courses
by Angela Montanari & Cinzia Viroli - 489-500 A distance-based rounding strategy for post-imputation ordinal data
by Hakan Demirtas - 501-513 Application of a Markovian process to the calculation of mean time equilibrium in a genetic drift model
by Martin Rios & Toni Monleon-Getino - 515-528 Bayesian analysis for bivariate von Mises distributions
by Kanti Mardia
2010, Volume 37, Issue 2
- 181-199 A Bayesian approach in differential equation dynamic models incorporating clinical factors and covariates
by Yangxin Huang - 201-214 Estimating the Hurst parameter in financial time series via heuristic approaches
by Chin Wen Cheong - 215-233 Testing for spurious and cointegrated regressions: A wavelet approach
by Chee Kian Leong & Weihong Huang