Search results for "estimointi"

showing 10 items of 33 documents

Comparison of Bayesian and numerical optimization-based diet estimation on herbivorous zooplankton

2020

Consumer diet estimation with biotracer-based mixing models provides valuable information about trophic interactions and the dynamics of complex ecosystems. Here, we assessed the performance of four Bayesian and three numerical optimization-based diet estimation methods for estimating the diet composition of herbivorous zooplankton using consumer fatty acid (FA) profiles and resource library consisting of the results of homogeneous diet feeding experiments. The method performance was evaluated in terms of absolute errors, central probability interval checks, the success in identifying the primary resource in the diet, and the ability to detect the absence of resources in the diet. Despite …

0106 biological sciencesFood ChainBayesian probability010603 evolutionary biology01 natural sciencesZooplanktonGeneral Biochemistry Genetics and Molecular BiologyDistance measuresZooplanktonFASTARStatisticsAnimalsravintoaineetMixSIARHerbivoryMathematicsTrophic levelestimointi2. Zero hungerEstimationHerbivorefood web010604 marine biology & hydrobiologybayesilainen menetelmäplanktonFatty AcidsBayes TheorembiotracersArticlesFood webDietDaphniaQFASAvesikirputGeneral Agricultural and Biological SciencesEstimation methodsravintoverkotFood Analysis
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Efficient estimation of generalized linear latent variable models.

2019

Generalized linear latent variable models (GLLVM) are popular tools for modeling multivariate, correlated responses. Such data are often encountered, for instance, in ecological studies, where presence-absences, counts, or biomass of interacting species are collected from a set of sites. Until very recently, the main challenge in fitting GLLVMs has been the lack of computationally efficient estimation methods. For likelihood based estimation, several closed form approximations for the marginal likelihood of GLLVMs have been proposed, but their efficient implementations have been lacking in the literature. To fill this gap, we show in this paper how to obtain computationally convenient estim…

0106 biological sciencesMultivariate statisticsMultivariate analysisComputer scienceBinomials01 natural sciencesPolynomials010104 statistics & probabilityAmoebastilastolliset mallitestimointiProtozoansLikelihood FunctionsMultidisciplinaryApproximation MethodsStatistical ModelsSimulation and ModelingApplied MathematicsStatisticsQLinear modelREukaryotaLaplace's methodData Interpretation StatisticalPhysical SciencesVertebratesMedicineAlgorithmAlgorithmsResearch ArticleOptimizationScienceLatent variableResearch and Analysis Methods010603 evolutionary biologygeneralized linear latent variable modelsSet (abstract data type)BirdsAnimalsComputer Simulation0101 mathematicsta112OrganismsBiology and Life SciencesStatistical modelMarginal likelihoodAlgebraAmniotesMultivariate AnalysisLinear ModelsMathematicsSoftwarePLoS ONE
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How to reach optimal estimates of confidence intervals in microscopic counting of phytoplankton?

2021

Abstract Present practices in the microscopic counting of phytoplankton to estimate the reliability of results rely on the assumption of a random distribution of taxa in sample preparations. In contrast to that and in agreement with the literature, we show that aggregated distribution is common and can lead to over-optimistic confidence intervals, if estimated according to the shortcut procedure of Lund et al. based on the number of counted cells. We found a good linear correlation between the distribution independent confidence intervals for medians and those for parametric statistics so that 95% confidence intervals can be approximated by using a correction factor of 1.4. Instead, the rec…

0106 biological sciencestilastomenetelmätSample (statistics)mikroskopiaAquatic Scienceluottamustasotdynamic counting010603 evolutionary biology01 natural sciencesStatisticsAcademicSubjects/SCI00970laskeminenconfidence intervalsERROREcology Evolution Behavior and SystematicsReliability (statistics)estimointiParametric statisticsMathematicsEcology010604 marine biology & hydrobiologyplanktonContrast (statistics)mikrolevätConfidence interval1181 Ecology evolutionary biologymicroscopyphytoplanktonOriginal ArticleLinear correlationJournal of Plankton Research
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Cox-prosessi pistekuvion hierarkkisena tilastollisena mallina

1998

Bayes-menetelmämetsäntutkimusMCMCintensiteetin estimointispatiaalinen pisteprosessi
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Estimation of causal effects with small data in the presence of trapdoor variables

2021

We consider the problem of estimating causal effects of interventions from observational data when well-known back-door and front-door adjustments are not applicable. We show that when an identifiable causal effect is subject to an implicit functional constraint that is not deducible from conditional independence relations, the estimator of the causal effect can exhibit bias in small samples. This bias is related to variables that we call trapdoor variables. We use simulated data to study different strategies to account for trapdoor variables and suggest how the related trapdoor bias might be minimized. The importance of trapdoor variables in causal effect estimation is illustrated with rea…

FOS: Computer and information sciencesStatistics and ProbabilityEconomics and EconometricsbiascausalityComputer scienceBayesian probabilityContext (language use)01 natural sciencesStatistics - ComputationMethodology (stat.ME)010104 statistics & probability0504 sociologyEconometrics0101 mathematicsComputation (stat.CO)Statistics - MethodologyestimointiEstimationSmall databayesilainen menetelmä05 social sciences050401 social sciences methodsEstimatorBayesian estimationidentifiabilityConstraint (information theory)functional constraintConditional independencekausaliteettiObservational studyStatistics Probability and UncertaintySocial Sciences (miscellaneous)
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Asymptotic and bootstrap tests for subspace dimension

2022

Most linear dimension reduction methods proposed in the literature can be formulated using an appropriate pair of scatter matrices, see e.g. Ye and Weiss (2003), Tyler et al. (2009), Bura and Yang (2011), Liski et al. (2014) and Luo and Li (2016). The eigen-decomposition of one scatter matrix with respect to another is then often used to determine the dimension of the signal subspace and to separate signal and noise parts of the data. Three popular dimension reduction methods, namely principal component analysis (PCA), fourth order blind identification (FOBI) and sliced inverse regression (SIR) are considered in detail and the first two moments of subsets of the eigenvalues are used to test…

FOS: Computer and information sciencesStatistics and ProbabilityPrincipal component analysisMathematics - Statistics TheoryStatistics Theory (math.ST)01 natural sciencesMethodology (stat.ME)010104 statistics & probabilityDimension (vector space)Scatter matrixSliced inverse regression0502 economics and businessFOS: MathematicsSliced inverse regressionApplied mathematics0101 mathematicsEigenvalues and eigenvectorsStatistics - Methodology050205 econometrics MathematicsestimointiNumerical AnalysisOrder determinationDimensionality reduction05 social sciencesriippumattomien komponenttien analyysimonimuuttujamenetelmätPrincipal component analysisStatistics Probability and UncertaintySubspace topologySignal subspace
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When does Regression discontinuity design work? Evidence from random election outcomes

2018

We use elections data in which a large number of ties in vote counts between candidates are resolved via a lottery to study the personal incumbency advantage. We benchmark non‐experimental regression discontinuity design (RDD) estimates against the estimate produced by this experiment that takes place exactly at the cutoff. The experimental estimate suggests that there is no personal incumbency advantage. In contrast, conventional local polynomial RDD estimates suggest a moderate and statistically significant effect. Bias‐corrected RDD estimates that apply robust inference are, however, in line with the experimental estimate. Therefore, state‐of‐the‐art implementation of RDD can meet the re…

H Social Sciences (General)Economics and EconometricskokeiluInferenceContext (language use)close electionsLotteryD72C52Benchmark (surveying)Political science0502 economics and businessReplication (statistics)ddc:330050602 political science & public administrationEconometricsCutoffregression discontinuity design050207 economicsestimointita112ta511experiment05 social sciencesContrast (statistics)0506 political scienceincumbency advantageRegression discontinuity designkokeet (tutkimustoiminta)C21vaalitvaalijärjestelmätQUANTITATIVE ECONOMICS
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Importance sampling type estimators based on approximate marginal Markov chain Monte Carlo

2020

We consider importance sampling (IS) type weighted estimators based on Markov chain Monte Carlo (MCMC) targeting an approximate marginal of the target distribution. In the context of Bayesian latent variable models, the MCMC typically operates on the hyperparameters, and the subsequent weighting may be based on IS or sequential Monte Carlo (SMC), but allows for multilevel techniques as well. The IS approach provides a natural alternative to delayed acceptance (DA) pseudo-marginal/particle MCMC, and has many advantages over DA, including a straightforward parallelisation and additional flexibility in MCMC implementation. We detail minimal conditions which ensure strong consistency of the sug…

Monte Carlo -menetelmätbayesilainen menetelmätilastomenetelmätMarkovin ketjutMarkov chain Monte Carlo (MCMC)Bayesian analysisotantaStatistics::Computationestimointi
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Sähköteknisen teollisuuden investointeihin vaikuttavat tekijät

2001

Pienimmän neliösumman menetelmäPNS-estimointiinvestoinnitsähköteollisuusestimointi
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Fast and universal estimation of latent variable models using extended variational approximations

2022

AbstractGeneralized linear latent variable models (GLLVMs) are a class of methods for analyzing multi-response data which has gained considerable popularity in recent years, e.g., in the analysis of multivariate abundance data in ecology. One of the main features of GLLVMs is their capacity to handle a variety of responses types, such as (overdispersed) counts, binomial and (semi-)continuous responses, and proportions data. On the other hand, the inclusion of unobserved latent variables poses a major computational challenge, as the resulting marginal likelihood function involves an intractable integral for non-normally distributed responses. This has spurred research into a number of approx…

Statistics and ProbabilityComputational Theory and Mathematicsmultivariate abundance datamuuttujatlaplace approximationmulti-response dataordinationStatistics Probability and Uncertaintyvariational approximationsgeneralized linear latent variable modelsestimointiTheoretical Computer ScienceStatistics and Computing
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