The purpose of this paper is to propose a new model of asymmetry for square contingency tables with ordered categories. The new model may be appropriate for a square contingency table if it is ...
1 Department of Economics, Georgia State University, Atlanta, GA, USA. 2 Department of Economics, Simon Fraser University, Burnaby, Canada. 3 Department of Mathematics and Statistics, York University, ...
#' the length is taken to be the number required. #' @param mean1,mean2 vectors of means. #' @param sd1,sd2 vectors of standard deviations. #' @param cor vector of ...
We consider the problem of estimating the correlation in bivariate normal data when the means and variances are assumed known, with emphasis on the small sample case. We consider eight different ...
We consider a bivariate normal distribution with linear correlation [Formula: see text] whose random components are discretized according to two assigned sets of thresholds. On the resulting bivariate ...
A user can enter the means and standard deviations of 2 Normally Distributed variables X and Y, along with their covariance. Upon doing so, an interactive 3D visualization of the distribution is ...
Abstract: This paper studies the statistical performance of the multichannel Wiener filter (MWF) when the weights are computed using estimates of the sample covariance matrices of the noisy and the ...
In this note it is shown that P(η - ξ > 0) can easily be calculated using tables of the bivariate normal distribution, where ξ, η are independent, ξ has a normal distribution, and η has a truncated ...