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Galstian, Anahit. "Lp - Lq decay estimates for the equation with exponentially growing coefficient". Universität Potsdam, 2001. http://opus.kobv.de/ubp/volltexte/2008/2607/.
Pełny tekst źródłaWilson, Celia M. "Attenuation of the Squared Canonical Correlation Coefficient Under Varying Estimates of Score Reliability". Thesis, University of North Texas, 2010. https://digital.library.unt.edu/ark:/67531/metadc30528/.
Pełny tekst źródłaPatterson, Mason Foushee. "Standardization of Street Sampling Units to Improve Street Tree Population Estimates Derived by I-Tree Streets Inventory Software". Thesis, Virginia Tech, 2012. http://hdl.handle.net/10919/42687.
Pełny tekst źródłaMaster of Science
Semaško, Ala. "Baigtinės populiacijos koreliacijos koeficiento vertinimas, naudojant papildomus kintamuosius". Master's thesis, Lithuanian Academic Libraries Network (LABT), 2011. http://vddb.laba.lt/obj/LT-eLABa-0001:E.02~2011~D_20110711_110917-80836.
Pełny tekst źródłaThis master’s thesis analyzes the opportunities of auxiliary information usage while constructing the correlation coefficient estimators of the finite population. By applying the methods of weight calibration of sample design the new eight correlation coefficient estimators are derived. Several combinations of calibration equations and distance measures are used to construct estimators. Calibration weights were derived through Lagrange multiplier method. Using Taylor linearization and jackknife methods variance estimators of the correlation coefficient estimators were constructed. The paper also contains a mathematical simulation aimed at comparing the new derived estimators in between and with a standard estimator. The accuracy of estimators is determined by rather substantial correlation between study and auxiliary variables, whereas two of the estimators are accurate even in the presence of bad correlation. It is tested how sample size and correlation between study and auxiliary variables influences the accuracy of estimators. All the mathemathical simulation tests were performed employing MATLAB programs that have been created by the author of this work.
Blair, Matthew D. "Strichartz estimates for wave equations with coefficients of Sobolev regularity /". Thesis, Connect to this title online; UW restricted, 2005. http://hdl.handle.net/1773/5745.
Pełny tekst źródłaCAFFERATA, Mattia. "Estimates for a family of exponential sums with modular coefficients". Doctoral thesis, Università degli studi di Ferrara, 2019. http://hdl.handle.net/11392/2488054.
Pełny tekst źródłaIn questo lavoro otteniamo stime non banali per una famiglia di somme esponenziali pesate con coefficienti di natura modulare. Due successioni di pesi sono considerate: la successione {a_f(n)} dei coefficienti di Fourier normalizzati di un’autofunzione cuspidale f del gruppo modulare e {\mu_f(n)} la successione inversa di {a_f(n)} rispetto alla convoluzione di Dirichlet. Lo strumento principale sviluppato per la nostra dimostrazione è una generalizzazione di un risultato di Bourgain, Sarnak e Ziegler; nella versione originale, il risultato ha numerose applicazioni nello studio delle proprietà di cancellazione legate alla funzione di Moebius \mu(n), a cui solitamente ci si riferisce con Moebius Randomness Law. Osserviamo che la funzione \mu_f(n) è strettamente legata a \mu(n); possiamo sintetizzare dicendo che \mu_f(n) gioca per la L-funzione associata ad f il ruolo che \mu(n) gioca per la funzione zeta di Riemann. Nel primo capitolo si richiamano alcune proprietà generali della funzione di Moebius con particolare enfasi su questioni inerenti alla Moebius Randomness Law e alla congettura di Sarnak. Nel secondo capitolo si richiamano alcuni aspetti interessanti delle forme modulari, si dimostra la generalizzazione del risultato di Bourgain, Sarnak e Ziegler e la sua applicabilità alle due successioni {a_f(n)} and {\mu_f(n)}. Nel terzo capitolo si dimostrano le stime per le somme esponenziali.
SHANG, FENG. "PATH-DEPENDENT APPROACH TO ESTIMATE CHLORINE WALL DEMAND COEFFICIENT IN WATER DISTRIBUTION SYSTEM". University of Cincinnati / OhioLINK, 2005. http://rave.ohiolink.edu/etdc/view?acc_num=ucin1109274766.
Pełny tekst źródłaPetzoldt, Martin. "Regularity and error estimators for elliptic problems with discontinuous coefficients". [S.l.] : [s.n.], 2001. http://www.diss.fu-berlin.de/2001/111/index.html.
Pełny tekst źródłaGlenn, L. Lee, i Jeff R. Knisley. "Use of Eigenslope to Estimate Fourier Coefficients for Passive Cable Models of the Neuron". Digital Commons @ East Tennessee State University, 1997. https://dc.etsu.edu/etsu-works/7540.
Pełny tekst źródłaBenhmida, Saïd. "Robustesse et comportement asymptotique d'un TRA-estimateur des coefficients d'un processus ARMA (p,q)". Nancy 1, 1995. http://www.theses.fr/1995NAN10035.
Pełny tekst źródłaZhivkoplias, Erik. "Comparing the performance of different methods to estimate selection coefficient across parameter space using time-series genomic data". Thesis, Uppsala universitet, Institutionen för biologisk grundutbildning, 2020. http://urn.kb.se/resolve?urn=urn:nbn:se:uu:diva-420278.
Pełny tekst źródłaSande, Olow. "Boundary Estimates for Solutions to Parabolic Equations". Doctoral thesis, Uppsala universitet, Matematiska institutionen, 2016. http://urn.kb.se/resolve?urn=urn:nbn:se:uu:diva-281451.
Pełny tekst źródłaRodrigue, Natalie. "A comparison of the performance of Generalized Procrustes analysis and the intraclass coefficient of correlation to estimate interrater reliability". Thesis, National Library of Canada = Bibliothèque nationale du Canada, 1999. http://www.collectionscanada.ca/obj/s4/f2/dsk1/tape8/PQDD_0022/MQ50868.pdf.
Pełny tekst źródłaWilliams, Scott Lawrence. "Separation of mixed radiometric land cover temperatures in time-delayed bi-angular views using estimated fractional differential coefficients". Thesis, New Mexico State University, 2015. http://pqdtopen.proquest.com/#viewpdf?dispub=3582404.
Pełny tekst źródłaA dissertation is presented concerning the separation of radiometric temperatures of sparse land covers from two views of mixed thermal and NDVI samples with a time delay between the views. The research scope is limited to a simple binary land cover of vegetation canopy and bare soil. Previous methods have been developed using simultaneous views but little work has been done on time-delayed sampling, which is the focus of this study.
The dissertation hypothesis is based on the observation that the rate of change of a mixed radiometric temperature with respect to actual fractional vegetation cover, dTm/dfa originally constructed using spatially varying vegetation covers, can also be constructed using bi-angular views of the same land parcel but with a different interpretation; that bi-angular samples provide a perceived fractional cover differential, dTm/df0 . The hypothesis is that dTm/df0 can be used for sub-pixel temperature discrimination of binary land covers and, moreover, that the separate soil and vegetation total differential coefficients dTm/df0 and dTv/df0, required in the algebraic system, can be characterized to sufficiently capture environmental influences between samples in time. To test the hypothesis, this study heuristically derives a first-order estimation of the differential coefficients, required to decompose land cover temperatures from mixed data points, for any time-delayed sampling spanning the day. Applying the estimated values on similar target days gives a high success rate for a local time span of at least a week.
This approach, once scaled up, could be used by platforms with inherent time delays, such as tandem weather satellites, to provide separate land cover temperature estimates from low-resolution sensors.
Tang, Lin. "Efficient Inference for Periodic Autoregressive Coefficients with Polynomial Spline Smoothing Approach". University of Toledo / OhioLINK, 2015. http://rave.ohiolink.edu/etdc/view?acc_num=toledo1449770216.
Pełny tekst źródławeathers, jeffrey wayne. "COMBINING THE MATRIX TRANSFORM METHOD WITH THREE-DIMENSIONAL FINITE ELEMENT MODELING TO ESTIMATE THE INTERFACIAL HEAT TRANSFER COEFFICIENT CORRESPONDING TO VARIOUS MOLD COATINGS". MSSTATE, 2005. http://sun.library.msstate.edu/ETD-db/theses/available/etd-04072005-143359/.
Pełny tekst źródłaILLIG, Aude. "Etude asymptotique de certains estimateurs dans des modèles ARMA spatiaux". Phd thesis, INSA de Toulouse, 2004. http://tel.archives-ouvertes.fr/tel-00007866.
Pełny tekst źródładont les innovations sont supposées être indépendantes et identiquement distribuées ou plus généralement vérifier une propriété de martingales fortes. Après une revue des théorèmes limites pour des martingales spatiales sur un réseau, nous démontrons d'abord un théorème de la limite centrale et un principe d'invariance sous la condition de Lindeberg conditionnelle pour des tableaux de martingales fortes. Afin de mieux situer notre étude des champs ARMA quadrantaux, nous rappelons divers résultats conçernant l'estimation et l'identification dans d'autres modèles ARMA spatiaux. Puis, dans le but de sélectionner les ordres et d'estimer les paramètres autorégressifs de modèles ARMA spatiaux quadrantaux, nous introduisons un nouvel estimateur obtenu à partir des équations de Yule-Walker généralisées. Nous démontrons sa consistance et sa normalité asymptotique. Enfin, pour un certain nombre de modèles ARMA spatiaux, nous illustrons leurs comportements par des représentations graphiques et nous
présentons une étude de procédures pour les identifier à partir de nombreuses simulations.
Illig, Aude. "Etude asymptotique de certains estimateurs pour des modèles ARMA spatiaux". Toulouse, INSA, 2004. http://www.theses.fr/2004ISAT0027.
Pełny tekst źródłaWe study the asymptotic behaviour of some statistics for spatial quadrantal ARMA models with independent and identically distributed innovations or more generally strong martingales innovations. After giving a review of limit theorems for lattice martingales, we establish a central limit theorem and an invariance principle under the conditional Lindeberg condition for strong latticemartingales. For a better understanding of our study on quadrantal ARMA random fields, we recall various results on estimation and identification for others spatial ARMA models. Then, in order to select orders and estimate autoregressive coefficients in spatial quadrantal ARMA models, we introduce a new estimator based on a derivation of extended Yule-Walker equations and prove that it is consistent and asymptotically normal. Finally, we illustrate with graphic representations the behaviour of several spatial ARMA models and present a study of procedures for their identification
De, Marco Stefano. "On Probability Distributions of Diffusions and Financial Models with non-globally smooth coefficients". Doctoral thesis, Scuola Normale Superiore, 2011. http://hdl.handle.net/11384/85676.
Pełny tekst źródłaGuimarães, Paulo Henrique Ramos. "Parâmetros genéticos e fenotípicos em arroz irrigado estimados por método de análise espacial". Universidade Federal de Goiás, 2014. http://repositorio.bc.ufg.br/tede/handle/tede/3956.
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Coordenação de Aperfeiçoamento de Pessoal de Nível Superior - CAPES
Some spatial analysis methods have been applied in order to mitigate environmental variation. The objective of this study was to evaluate the efficiency of spatial statistical, through the method of Papadakis, relative to the analysis to augmented blocks Federer in the correction of environmental variation. Were evaluated 198 progenies S0:2 of rice and four witnesses for augmented blocks of Federer. Data set were taken in the grain yield (GY, kg ha- 1) and plant height (PH, cm). The data set were subjected to variance analyses and were estimated the genetic and phenotypic parameters. The different approaches (BAF and Papadakis) were compared as to their estimates of genetic and phenotypic parameters. The ranking of adjusted means in the two models analyzed was performed, and calculated the Spearman correlation. There have been improvements in the statistics that depict the experimental accuracy when the spatial analysis was, that affect the estimates of genetic and phenotypic parameters. The use of the Papadakis method yielded fewer iterations compared to BAF for the same value of . Was able to gain direct selection for the AP and PG characters when the Papadakis method was used. With the use of spatial analysis selection was less influenced by the effect of environmental variation. Finally it was found that the spatial analysis methods were effective in the removal of environmental effects highlighting the Papadakis method, indicating that it can provide improvement
Alguns métodos de análise espacial têm sido aplicados objetivando reduzir a variação ambiental. O objetivo deste trabalho foi avaliar a eficiência da análise espacial, por meio do método de Papadakis, em relação ao delineamento de blocos aumentados de Federer na correção da variação ambiental. Foram avaliadas 198 progênies S0:2 de arroz irrigado e quatro testemunhas no delineamento de blocos aumentados de Federer. Os caracteres avaliados foram: produção de grãos (PG, kg ha-1) e de altura de plantas (AP, cm). Foi efetuada análise de variância para os caracteres estudados e estimados os componentes de variância e os parâmetros genéticos e fenotípicos. As diferentes abordagens (BAF e Papadakis) foram comparadas quanto às suas estimativas de parâmetros genéticos e fenotípicos e correlação de Spearman. Houve melhorias nas estatísticas que retratam a precisão experimental quando a análise espacial foi utilizada, isto influenciou as estimativas de parâmetros genéticos e fenótipos. O uso do método de Papadakis apresentou a necessidade de uso de menor número de repetições em relação ao BAF para o mesmo valor de . Houve ganho de seleção direto para os caracteres AP e PG quando o método de Papadakis foi utilizado. Com o uso da análise espacial a seleção foi menos influenciada pelo efeito da variação ambiental. Por fim verificou-se que o método de Papadakis foi eficiente na remoção dos efeitos ambientais, indicando que o mesmo pode proporcionar melhoria na precisão experimental, o que torna o processo seletivo mais eficiente.
OULD, KHAL ABDELLAH. "Theoremes fonctionnels d'erdos-renyi relatifs aux processus lineaires ; du type shepp-sur le probleme du geyser stochastique - estimateurs du coefficient d'adjustement - extension du theoreme d'erdos-renyi". Paris 6, 1996. http://www.theses.fr/1996PA066313.
Pełny tekst źródłaEchiejile, Faith. "Analysis of Monthly Suspended Sediment Load in Rivers and Streams Using Linear Regression and Similar Precipitation Data". Youngstown State University / OhioLINK, 2021. http://rave.ohiolink.edu/etdc/view?acc_num=ysu1629203139818238.
Pełny tekst źródłaRüscher, Claus H., Tapas Debnath, Peter Fielitz, Sven Ohmann i Günter Borchardt. "18 O/16 O Exchange studies in Bi 2 (Ga x Al 1−x) 4 O 9: oxygen diffusion coefficients estimated from infrared absorption and XRD powder data". Diffusion fundamentals 12 (2010) 50, 2010. https://ul.qucosa.de/id/qucosa%3A13888.
Pełny tekst źródłaIbrahim, Amin Abdurahman. "Detecting and preventing the electronic transmission of illicit images". Thesis, UOIT, 2009. http://hdl.handle.net/10155/23.
Pełny tekst źródłaHammami, Imen. "Statistical properties of parasite density estimators in malaria and field applications". Phd thesis, Université René Descartes - Paris V, 2013. http://tel.archives-ouvertes.fr/tel-01064071.
Pełny tekst źródłaKawagoe, Daisuke. "Regularity of solutions to the stationary transport equation with the incoming boundary data". Kyoto University, 2018. http://hdl.handle.net/2433/232413.
Pełny tekst źródłaSom, Agniva. "Paradoxes and Priors in Bayesian Regression". The Ohio State University, 2014. http://rave.ohiolink.edu/etdc/view?acc_num=osu1406197897.
Pełny tekst źródłaAlves, Paulo Roberto Vieira. "Análise de um coeficiente geométrico para estimativa de perdas de carga em linhas laterais de irrigação por gotejamento". Universidade de São Paulo, 2000. http://www.teses.usp.br/teses/disponiveis/18/18138/tde-17072018-090808/.
Pełny tekst źródłaThe hydraulic projects to drip irrigation systems, usually disregard the localized head losses because of the destach of the drip\'s connection in the lateral lines, or establish average coefficients or percentual rates to calculate these losses. However, these localized losses can be rather significant, varying according to the flow and the drip\'s model connection with the diameter of the installed tubing. This dissertation presents the results of an experimental research to determine a mathematical relation that allows us to estirnate the localized head losses to each drip group - tube. This mathematical relation associates the resistance of kinetic head, in different flows, with geometrical contents of obstruction to four sections, circular and slightly oval, from different polietilene tubes, and four models of drips, commercialized in Ribeirão Preto\'s region. It\'s also discussed the aspects of the usage of Blasius equation to calculate the losses of distributed head and the influence of viscosity variation during the drain.
Bergamaschi, Denise Pimentel. "Correlação intraclasse de Pearson para pares repetidos: comparação entre dois estimadores". Universidade de São Paulo, 1999. http://www.teses.usp.br/teses/disponiveis/6/6132/tde-01102014-105050/.
Pełny tekst źródłaObjective. This thesis presents and compares, theoretically and empirically, two estimators of the intraclass correlation coefficient pI, defined as Pearson\'s pairwise intraclass correlation coefficient. The first is the \"natural\" estimator, obtained by Pearson\'s moment-product correlation for members of one class (rI) while the second was obtained as a function of components of variance (icc). Methods. Theoretical and empirical comparison of the parameters and estimators are performed. The theoretical comparison involves two definitions of the intrac1ass correlation coefficient pI as a measure of reliability (*) for two repeated measurements in the same class and the presentation of the technique of analysis of variance, as well as for the definition and interpretation of the estimators ri and icc. The empirical comparison was carried out by means of a Monte Carlo simulation study of pairs of correlated values according Pearson\'s pairwise correlation. The pairs of values follow a normal bivariate distribution, with correlation values and sample size previously fixed: n= 15, 30 e 45 and Pl = . Results. Bias and mean square error for the estimators were compared as well as the range of the intervals of confidence. The comparison shows that the bias of icc is always smaller than of rI This also applies to the mean square error. Conclusions. The icc is a better estimator, especially for n less than or equal to 15. For larger samples sízes (n 30 or more), the estimators produce results that are equal to the second decimal place. (*) Fórmula
Liao, Shaojuan. "Three Essays on Economic Growth and Technology Development: Considering the Spillover Effects". Diss., Virginia Tech, 2012. http://hdl.handle.net/10919/37808.
Pełny tekst źródłaPh. D.
Komosná, Milada. "Porovnání tržních cen nemovitostí s cenami zjištěnými porovnávacím způsobem podle oceňovacích předpisů". Doctoral thesis, Vysoké učení technické v Brně. Ústav soudního inženýrství, 2013. http://www.nusl.cz/ntk/nusl-234304.
Pełny tekst źródłaKouamo, Olaf. "Analyse des séries chronologiques à mémoire longue dans le domaine des ondelettes". Phd thesis, Télécom ParisTech, 2011. http://pastel.archives-ouvertes.fr/pastel-00565656.
Pełny tekst źródłaPACE, MARIA LUCIA. "La diseguaglianza di opportunità in Italia". Doctoral thesis, Università Cattolica del Sacro Cuore, 2017. http://hdl.handle.net/10280/35716.
Pełny tekst źródłaWhile the analysis of inequality has been central to economic studies for cen- turies, in recent years many studies concentrated on the distinction between in- equality of opportunity (IO) and inequality of returns to effort (IE) and attempted empirical estimates of the two components, e.g. in US and in Europe. The decompo- sition of a general inequality index into these two components allows to analyze the prevalence of fair or unfair income inequality within a country. This paper suggests to test the differences between the two sources of inequality in a simple way using the ANOVA framework adapted to decompose the coefficient of variation, to better suit the requirements of an inequality index. The proposed procedure is applied to the Italian Survey on Income and Living Condition (IT-SILC data, wave 2005 and 2011). The analysis of the results help identifying the circumstances that foster the rise of inequality of opportunities in Italy. Our analysis shows in particular, that father education, region of residence and gender result as the most relevant circumstances determining inequality of opportunity. On the other side, the role of mother education starting from a lower level, as an inequality of opportunity factor, is increasing its influence over time. The decomposition of inequality index in two components allows not only to analyze the prevalence of fair or unfair income inequality in a country, but also to find a clearer relation between inequality and growth. In fact, it is still missing an analysis of the relation between inequality of opportunity and economic growth in Italy. This paper aims at filling in that gap, by using Italian data from Bank of Italys Survey on Income and Wealth from 1998 to 2014. We choose the coefficient of variation to measure inequality of opportunity at the regional level and, then, we studied its relation with economic growth using Dynamic Panel Data models estimated through System- GMM. Finally, in order to check if the coefficient of variation could be a measure as good as the Entropy’s index, I will compare the results of the estimated panel models with the two different inequality of opportunity indeces. We evaluate the effect of inequality of opportunity on different length of the economic growth rate, going from a short term (2 years) to a very long term growth rate (10 years). Our results shows that, in Italy, inequality of opportunity is negative in the short period, but it does not have any effect on long run growth.
PACE, MARIA LUCIA. "La diseguaglianza di opportunità in Italia". Doctoral thesis, Università Cattolica del Sacro Cuore, 2017. http://hdl.handle.net/10280/35716.
Pełny tekst źródłaWhile the analysis of inequality has been central to economic studies for cen- turies, in recent years many studies concentrated on the distinction between in- equality of opportunity (IO) and inequality of returns to effort (IE) and attempted empirical estimates of the two components, e.g. in US and in Europe. The decompo- sition of a general inequality index into these two components allows to analyze the prevalence of fair or unfair income inequality within a country. This paper suggests to test the differences between the two sources of inequality in a simple way using the ANOVA framework adapted to decompose the coefficient of variation, to better suit the requirements of an inequality index. The proposed procedure is applied to the Italian Survey on Income and Living Condition (IT-SILC data, wave 2005 and 2011). The analysis of the results help identifying the circumstances that foster the rise of inequality of opportunities in Italy. Our analysis shows in particular, that father education, region of residence and gender result as the most relevant circumstances determining inequality of opportunity. On the other side, the role of mother education starting from a lower level, as an inequality of opportunity factor, is increasing its influence over time. The decomposition of inequality index in two components allows not only to analyze the prevalence of fair or unfair income inequality in a country, but also to find a clearer relation between inequality and growth. In fact, it is still missing an analysis of the relation between inequality of opportunity and economic growth in Italy. This paper aims at filling in that gap, by using Italian data from Bank of Italys Survey on Income and Wealth from 1998 to 2014. We choose the coefficient of variation to measure inequality of opportunity at the regional level and, then, we studied its relation with economic growth using Dynamic Panel Data models estimated through System- GMM. Finally, in order to check if the coefficient of variation could be a measure as good as the Entropy’s index, I will compare the results of the estimated panel models with the two different inequality of opportunity indeces. We evaluate the effect of inequality of opportunity on different length of the economic growth rate, going from a short term (2 years) to a very long term growth rate (10 years). Our results shows that, in Italy, inequality of opportunity is negative in the short period, but it does not have any effect on long run growth.
Rouvière, Laurent. "Estimation de densité en dimension élevée et classification de courbes". Phd thesis, Université Montpellier II - Sciences et Techniques du Languedoc, 2005. http://tel.archives-ouvertes.fr/tel-00011624.
Pełny tekst źródłaLa première partie, intitulée compléments sur les histogrammes modifiés, est composée de deux chapitres consacrés l'étude d'une famille d'estimateurs non paramétriques de la densité, les histogrammes modifiés, connus pour posséder de bonnes propriétés de convergence au sens des critères de la théorie de l'information. Dans le premier chapitre, ces estimateurs sont envisagés comme des systèmes dynamiques espace d'états de dimension infinie. Le second chapitre est consacré l'étude de ces estimateurs pour des dimensions suprieures un.
La deuxième partie de la thèse, intituleé méthodes combinatoires en estimation de la densité, se divise en deux chapitres. Nous nous intéressons dans cette partie aux performances distance finie d'estimateurs de la densité sélectionnés à l'intérieur d'une famille d'estimateurs candidats, dont le cardinal n'est pas nécessairement fini. Dans le premier chapitre, nous étudions les performances de ces méthodes dans le cadre de la sélection des différents paramètres des histogrammes modifiés. Nous poursuivons, dans le deuxième chapitre, par la sélection d'estimateurs à noyau dont le paramètre de lissage s'adapte localement au point d'estimation et aux données.
Enfin, la troisième et dernière partie, plus appliquée et indépendante des précédentes, présente une nouvelle méthode permettant de classer des courbes partir d'une décomposition des observations dans des bases d'ondelettes.
Cheng, Teddy Man Lai. "Application of filtering theory for optimum strategies in stock market investment". Thesis, Queensland University of Technology, 1997.
Znajdź pełny tekst źródłaHacine-Gharbi, Abdenour. "Sélection de paramètres acoustiques pertinents pour la reconnaissance de la parole". Phd thesis, Université d'Orléans, 2012. http://tel.archives-ouvertes.fr/tel-00843652.
Pełny tekst źródłaGarcia, Luz Mery González. "Modelos baseados no planejamento para análise de populações finitas". Universidade de São Paulo, 2008. http://www.teses.usp.br/teses/disponiveis/45/45133/tde-19062008-183609/.
Pełny tekst źródłaWe consider optimal estimation of finite population parameters with data obtained via simple random samples. In this context, we extend a finite population mixed model proposed by Stanek, Singer & Lencina (2004, Journal of Statistical Planning and Inference) by including measurement errors (endogenous or exogenous) and auxiliary information. Assuming that variance components are known, we show that the proposed estimators/predictors have the smallest mean squared error in the class of unbiased estimators. Using simulation studies, we compare the performance of the empirical estimators/predictors obtained by replacing variance components with estimates with the performance of a traditional estimator. We also extend the finite population mixed model to data obtained via pretest-posttest designs. Through simulation studies, we compare the performance of the empirical estimator of the difference in gain between groups with the performance of the usual repeated measures estimator and with the performance of the usual analysis of covariance estimator obtained via ordinary least squares. The empirical estimator has smaller mean squared error and bias than the alternative estimators under consideration. In general, we recommend the use of the proposed estimators/ predictors for either asymmetric response distributions or small samples.
Tomek, Peter. "Approximation of Terrain Data Utilizing Splines". Master's thesis, Vysoké učení technické v Brně. Fakulta informačních technologií, 2012. http://www.nusl.cz/ntk/nusl-236488.
Pełny tekst źródłaKHATTER, KANIKA. "COEFFICIENT ESTIMATES AND SUBORDINATION FOR UNIVALENT FUNCTIONS". Thesis, 2018. http://dspace.dtu.ac.in:8080/jspui/handle/repository/16433.
Pełny tekst źródłaWong, Chung Fai Paddison. "Composite estimators of small-area means and the intraclass correlation coefficient". 2004. http://hdl.handle.net/1993/17916.
Pełny tekst źródłaLu, Chia-Fu, i 盧佳甫. "Genetic Distances among Rice Varieties Estimated by Coefficient of Coancestry and Molecular Markers". Thesis, 2004. http://ndltd.ncl.edu.tw/handle/15032954626877427565.
Pełny tekst źródła國立臺灣大學
農藝學研究所
92
Rice (Oryza sativa) is the most important grain crop inTaiwan. Understanding genetic distance among rice varieties may help breeders to utilize the rice germplasm. There are many methods could be used to estimate genetic distance in rice. We used three marker systems: SSR(Simple Squence repeat), AFLP(Ampilified Fragment Lenth Polymorphism), RAPD(Random Amplified Polymorphism DNA) and coefficient of coancestry to determine genetic relatedness among elite major rice varieties. Correlations between molecular marker and coefficient of coancestry estimates are low. It might be caused by bias of coefficient of coancestry estimates , not enough number of molecular markers or markers spread in genome unevenly. Correlations between SSR estimates and coefficient of coancestry is higher and correspond better to pedigree data than other markers. AFLP estimates are roughly similar with SSR, but some estimates appears unreasonable. RAPD estimates are most different when compared with pedigree data.
Gochis, David J. "Estimated plant water use and crop coefficients for drip-irrigated hybrid polars". Thesis, 1998. http://hdl.handle.net/1957/33819.
Pełny tekst źródłaGraduation date: 1998
Ya, Bo-Hong, i 葉柏宏. "Using a simplified bat algorithm to estimate the coefficients of digital filters". Thesis, 2018. http://ndltd.ncl.edu.tw/handle/6tghvh.
Pełny tekst źródłaHsiao, Yao-Hsuan, i 蕭瑤軒. "Using the variance components method with model selection to estimate concordance correlation coefficients". Thesis, 2017. http://ndltd.ncl.edu.tw/handle/u77g6t.
Pełny tekst źródła國立彰化師範大學
統計資訊研究所
105
Variance components (VC) is an approach for estimating concordance correlation coefficients (CCC) adjusting for covariates, and allowing dependency between replicated samples. However, under VC, a model including all potential explanatory variables may lead to biased parameter estimates. To overcome this problem, the estimation of CCC using the VC approach, as well as applying the conditional Akaike information criterion (CAIC) and conditional Bayesian information criterion (CBIC) for model selection is applied. Simulation studies are conducted to compare linear mixed models (LMM), with and without model-selection via CAIC and CBIC, and we use three indices of intra-, inter- and total concordance correlation coefficients (CCCs) among multiple observers to evaluate agreement for continuous replicated readings. Two applications are illustrated: an assessment of conformity between three optometric devices and an evaluation of agreement in degree of myopia for monozygotic twins.
Liou, Jyh-Tyng, i 劉志庭. "Estimate fin efficiency of plate finned-tube exchanger and the coefficiet of convection". Thesis, 1996. http://ndltd.ncl.edu.tw/handle/81905711884953199379.
Pełny tekst źródłaWang, Shanshan. "Bootstrapping generalized two stage least square estimates in simultaneous equation model with both fixed and random coefficients". Thesis, 1990. http://spectrum.library.concordia.ca/2634/1/ML56033.pdf.
Pełny tekst źródłaBuccheri, Stefano. "Elliptic boundary value problems with measurable coefficients and explosive boundary conditions". Doctoral thesis, 2019. http://hdl.handle.net/11573/1240198.
Pełny tekst źródłaLiu, Yong-Zhi, i 劉永智. "Application of the Inverse Method to Estimate Heat transfer Coefficient on CPU Heatsink using Experimental Temperature Data". Thesis, 2006. http://ndltd.ncl.edu.tw/handle/07670067954292036158.
Pełny tekst źródła國立成功大學
機械工程學系碩博士班
94
The present study applies the hybrid method of the Laplace transform technique and finite-difference method in conjunction with least-squares scheme and experimental temperature data to predict the heat dissipation and the average convection heat transfer coefficient on CPU heatsink. Due to the thickness of the standard test material is very smaller than its length and width, the one-dimension mathematical model is applied to perform the present inverse analysis. The effects of the fin spacing and fin height on the present estimates can not be negligible for free convection and forced convection. The free convection heat transfer coefficient is increased with increasing the fin spacing and is decreased with increasing the fin height. A comparison of the forced convection heat transfer coefficient between the present estimates and previous results is made in order to evidence the accuracy and reliability of the present inverse scheme.
Petzoldt, Martin [Verfasser]. "Regularity and error estimators for elliptic problems with discontinuous coefficients / eingereicht von Martin Petzoldt". 2001. http://d-nb.info/962922315/34.
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