Recently, analysis of variance (ANOVA) random effects models have been applied to data sets consisting of repeated measurements of pollutants within factories in order to identify determinants of ...
Annales d'Économie et de Statistique, No. 91/92, Econometric Evaluation of Public Policies: Methods and Applications (JULY - DECEMBER 2008), pp. 175-187 (13 pages) In paired randomized experiments ...
An identity for the chi-squared distribution is used to derive an unbiased estimator of the variance of the familiar Graybill-Deal (1959) estimator of the common mean of several normal populations ...
Financial institutions have to add a margin of conservatism of type C (MoC C) to their estimates of probability of default in order to account for the statistical uncertainty involved. European ...
Some results have been hidden because they may be inaccessible to you
Show inaccessible results