Search results for "Marginal distribution"
showing 10 items of 19 documents
Do we value mobility?
2015
Is there a trade-off between people's preference for income equality and income mobility? Testing for the existence of such a trade-off is difficult because mobility is a multifaceted concept. We analyse results from a questionnaire experiment based on simple precise concepts of income inequality and income mobility. We fnd no direct trade-off in preference between mobility and equality, but an indirect trade-off, applying when more income mobility can only be obtained at the expense of some income inequality. Mobility preference - but not equality preference - appears to be driven by personal experience of mobility.
Derived variables calculated from similar joint responses: some characteristics and examples
1995
Abstract A technique (Cox and Wermuth, 1992) is reviewed for finding linear combinations of a set of response variables having special relations of linear conditional independence with a set of explanatory variables. A theorem in linear algebra is used both to examine conditions in which the derived variables take a specially simple form and lead to reduced computations. Examples are discussed of medical and psychological investigations in which the method has aided interpretation.
Set-valued Brownian motion
2015
Brownian motions, martingales, and Wiener processes are introduced and studied for set valued functions taking values in the subfamily of compact convex subsets of arbitrary Banach space $X$. The present paper is an application of one the paper of the second author in which an embedding result is obtained which considers also the ordered structure of $ck(X)$ and f-algebras.
Multi-year drought frequency analysis at multiple sites by operational hydrology - A comparison of methods
2006
Abstract This paper compares two generators of yearly water availabilities from sources located at multiple sites with regard to their ability to reproduce the characteristics of historical critical periods and to provide reliable results in terms of the return period of critical sequences of different length. The two models are a novel multi-site Markov mixture model explicitly accounting for drought occurrences and a multivariate ARMA. In the case of the multisite Markov mixture model parameter estimation is limited to a search in the parameter space guided by the value of parameter λ to show the sensitivity of the model to this parameter. Application to two of the longest time series of …
Contextuality Analysis of the Double Slit Experiment (With a Glimpse Into Three Slits)
2018
The Contextuality-by-Default theory is illustrated on contextuality analysis of the idealized double-slit experiment. The experiment is described by a system of contextually labeled binary random variables each of which answers the question: has the particle hit the detector, having passed through a given slit (left or right) in a given state (open or closed)? This system of random variables is a cyclic system of rank 4, formally the same as the system describing the EPR/Bell paradigm with signaling. Unlike the latter, however, the system describing the double-slit experiment is always noncontextual, i.e., the context-dependence in it is entirely explainable in terms of direct influences of…
A genetic system based on simulated crossover of sequences of two-bit genes
2006
AbstractWe introduce a genetic model based on simulated crossover of fixed sequences of two-bit genes. Results are(1)a lower bound on population size is exhibited such that a transition takes the stochastic finite population genetic system near the next state of the deterministic infinite population genetic system (provided both begin in the same state);(2)states and dynamics of the deterministic infinite population genetic system are derived for arbitrary (finite) fitness functions (expressed in terms of multivariate polynomials);(3)in the case of quadratic fitness defined by weight matrices with m nonnull entries it is shown that each state transition can be implemented in time O(m+l), wh…
A penalized approach for the bivariate ordered logistic model with applications to social and medical data
2018
Bivariate ordered logistic models (BOLMs) are appealing to jointly model the marginal distribution of two ordered responses and their association, given a set of covariates. When the number of categories of the responses increases, the number of global odds ratios to be estimated also increases, and estimation gets problematic. In this work we propose a non-parametric approach for the maximum likelihood (ML) estimation of a BOLM, wherein penalties to the differences between adjacent row and column effects are applied. Our proposal is then compared to the Goodman and Dale models. Some simulation results as well as analyses of two real data sets are presented and discussed.
Dynamic copula models for the spark spread
2011
We propose a non-symmetric copula to model the evolution of electricity and gas prices by a bivariate non-Gaussian autoregressive process. We identify the marginal dynamics as driven by normal inverse Gaussian processes, estimating them from a series of observed UK electricity and gas spot data. We estimate the copula by modeling the difference between the empirical copula and the independent copula. We then simulate the joint process and price options written on the spark spread. We find that option prices are significantly influenced by the copula and the marginal distributions, along with the seasonality of the underlying prices.
Modeling joint and marginal distributions in the analysis of categorical panel data
2001
This article presents a unifying approach to the analysis of repeated univariate categorical (ordered) responses based on the application of the generalized log-linear modeling framework proposed by Lang and Agresti. It is shown that three important research questions in longitudinal studies can be addressed simultaneously. These questions are the following: What is the overall dependence structure of the repeated responses? What is the structure of the change between consecutive time points? and What is the structure of the change in the marginal distributions? Each of these questions involves specifying log-linear models for different marginal distributions of the multiway cross classifi…
On easily interpretable multivariate reference regions of rectangular shape
2011
Till now, multivariate reference regions have played only a marginal role in the practice of clinical chemistry and laboratory medicine. The major reason for this fact is that such regions are traditionally determined by means of concentration ellipsoids of multidimensional Gaussian distributions yielding reference limits which do not allow statements about possible outlyingness of measurements taken in specific diagnostic tests from a given patient or subject. As a promising way around this difficulty we propose to construct multivariate reference regions as p-dimensional rectangles or (in the one-sided case) rectangular half-spaces whose edges determine univariate percentile ranges of the…