• Title/Summary/Keyword: Statistical Distribution

Search Result 4,070, Processing Time 0.025 seconds

Statistical Studies on the Formularies of Oriental Medicine ( I ) -Prescription Frequency and their Origin Distribution of Herb Drugs- (한방 처방의 통계적 연구( I ) -생약의 처방 출현 빈도 및 기원 분포-)

  • Hong, Moon-Wha
    • Korean Journal of Pharmacognosy
    • /
    • v.3 no.2
    • /
    • pp.57-64
    • /
    • 1972
  • For the purpose of scientific evaluation of oriental medicine, statistical analyses of oriental medicine formularies have been attempted. Four hundred and sixty seven prescriptions in 'Bang-Yak-Hap-Pyon', the most popular formulary of oriental medicine in Korea, were analysed to obtain statistical characteristics on the prescription frequency and origin distribution of two hundred and ninety three herb drugs.

  • PDF

A Comparison of Some Approximate Confidence Intervals for he Poisson Parameter

  • Kim, Daehak;Jeong, Hyeong-Chul
    • Communications for Statistical Applications and Methods
    • /
    • v.7 no.3
    • /
    • pp.899-911
    • /
    • 2000
  • In this paper, we reviewed thirteen methods for finding confidence intervals for he mean of poisson distribution. Bootstrap confidence intervals are also introduced. Two bootstrap confidence intervals are compared with the other existing eleven confidence intervals by using Monte Carlo simulation with respect to the average coverage probability of Woodroofe and Jhun (1989).

  • PDF

Statistical Analysis for Fatigue Lifetime of Ceramics (세라믹스의 피로수명에 대한 통계적 분석)

  • 박성은;김성욱;이홍림
    • Journal of the Korean Ceramic Society
    • /
    • v.34 no.9
    • /
    • pp.927-934
    • /
    • 1997
  • Static and cyclic fatigue tests were carried out for alumina specimen to study the statistical analyses (normal, lognormal and Weibull distribution) of fatigue lifetime data and nominal initial crack length data. Fatigue lifetime data followed Weibull distribution better than normal or lognormal distribution, for the shape parameter of the notched specimen was larger than that of the unnotched specimen. The nominal initial crack length data obtained from fatigue lifetime followed the lognormal and Weibull distribution better than normal distribution, for the coefficient of variation of the unnotched specimen was larger than that of the notched specimen, and shape parameter of unnotched specimen was smaller than that of the notched specimen.

  • PDF

Power t distribution

  • Zhao, Jun;Kim, Hyoung-Moon
    • Communications for Statistical Applications and Methods
    • /
    • v.23 no.4
    • /
    • pp.321-334
    • /
    • 2016
  • In this paper, we propose power t distribution based on t distribution. We also study the properties of and inferences for power t model in order to solve the problem of real data showing both skewness and heavy tails. The comparison of skew t and power t distributions is based on density plots, skewness and kurtosis. Note that, at the given degree of freedom, the kurtosis's range of the power t model surpasses that of the skew t model at all times. We draw inferences for two parameters of the power t distribution and four parameters of the location-scale extension of power t distribution via maximum likelihood. The Fisher information matrix derived is nonsingular on the whole parametric space; in addition we obtain the profile log-likelihood functions on two parameters. The response plots for different sample sizes provide strong evidence for the estimators' existence and unicity. An application of the power t distribution suggests that the model can be very useful for real data.

LH-Moments of Some Distributions Useful in Hydrology

  • Murshed, Md. Sharwar;Park, Byung-Jun;Jeong, Bo-Yoon;Park, Jeong-Soo
    • Communications for Statistical Applications and Methods
    • /
    • v.16 no.4
    • /
    • pp.647-658
    • /
    • 2009
  • It is already known from the previous study that flood seems to have heavier tail. Therefore, to make prediction of future extreme label, some agreement of tail behavior of extreme data is highly required. The LH-moments estimation method, the generalized form of L-moments is an useful method of characterizing the upper part of the distribution. LH-moments are based on linear combination of higher order statistics. In this study, we have formulated LH-moments of five distributions useful in hydrology such as, two types of three parameter kappa distributions, beta-${\kappa}$ distribution, beta-p distribution and a generalized Gumbel distribution. Using LH-moments reduces the undue influences that small sample may have on the estimation of large return period events.

Error Rate for the Limiting Poisson-power Function Distribution

  • Joo-Hwan Kim
    • Communications for Statistical Applications and Methods
    • /
    • v.3 no.1
    • /
    • pp.243-255
    • /
    • 1996
  • The number of neutron signals from a neutral particle beam(NPB) at the detector, without any errors, obeys Poisson distribution, Under two assumptions that NPB scattering distribution and aiming errors have a circular Gaussian distribution respectively, an exact probability distribution of signals becomes a Poisson-power function distribution. In this paper, we show that the error rate in simple hypothesis testing for the limiting Poisson-power function distribution is not zero. That is, the limit of ${\alpha}+{\beta}$ is zero when Poisson parameter$\kappa\rightarro\infty$, but this limit is not zero (i.e., $\rho\ell$>0)for the Poisson-power function distribution. We also give optimal decision algorithms for a specified error rate.

  • PDF

Weibull Statistical Analysis of Micro-Vickers Hardness using Monte-Carlo Simulation (몬테카를로 시뮬레이션에 의한 미소 비커스 경도의 Weibull 통계 해석)

  • Kim, Seon-Jin;Kong, Yu-Sik;Lee, Sang-Yeal
    • Transactions of the Korean Society of Mechanical Engineers A
    • /
    • v.33 no.4
    • /
    • pp.346-352
    • /
    • 2009
  • In the present study, the Weibull statistical analysis using the Monte-Carlo simulation has been performed to investigate the micro-Vickers hardness measurement reliability considering the variability. Experimental indentation test were performed with a micro-Vickers hardness tester for as-received and quenching and tempering specimens in SCM440 steels. The distribution of micro-Vickers hardness is found to be 2-parameter Weibull distribution function. The mean values and coefficients of variation (COV) for both data set are compared with results based on Weibull statistical analysis. Finally, Monte-Carlo simulation was performed in order to evaluate the effect of sample size on the micro-Vickers hardness measurement reliability. For the parent distribution with shape parameter 30.0 and scale parameter 200.0 (COV=0.040), the number of sample data required to obtain the true Weibull parameters was founded by 20. For the parent distribution with shape parameter 10.0 and scale parameter 200.0 (COV=0.1240), the number of sample data required to obtain the true Weibull parameters was founded by 30.

Investigations into Coarsening Continuous Variables

  • Jeong, Dong-Myeong;Kim, Jay-J.
    • The Korean Journal of Applied Statistics
    • /
    • v.23 no.2
    • /
    • pp.325-333
    • /
    • 2010
  • Protection against disclosure of survey respondents' identifiable and/or sensitive information is a prerequisite for statistical agencies that release microdata files from their sample surveys. Coarsening is one of popular methods for protecting the confidentiality of the data. Grouped data can be released in the form of microdata or tabular data. Instead of releasing the data in a tabular form only, having microdata available to the public with interval codes with their representative values greatly enhances the utility of the data. It allows the researchers to compute covariance between the variables and build statistical models or to run a variety of statistical tests on the data. It may be conjectured that the variance of the interval data is lower that of the ungrouped data in the sense that the coarsened data do not have the within interval variance. This conjecture will be investigated using the uniform and triangular distributions. Traditionally, midpoint is used to represent all the values in an interval. This approach implicitly assumes that the data is uniformly distributed within each interval. However, this assumption may not hold, especially in the last interval of the economic data. In this paper, we will use three distributional assumptions - uniform, Pareto and lognormal distribution - in the last interval and use either midpoint or median for other intervals for wage and food costs of the Statistics Korea's 2006 Household Income and Expenditure Survey(HIES) data and compare these approaches in terms of the first two moments.

Goodness-of-fit tests for randomly censored Weibull distributions with estimated parameters

  • Kim, Namhyun
    • Communications for Statistical Applications and Methods
    • /
    • v.24 no.5
    • /
    • pp.519-531
    • /
    • 2017
  • We consider goodness-of-fit test statistics for Weibull distributions when data are randomly censored and the parameters are unknown. Koziol and Green (Biometrika, 63, 465-474, 1976) proposed the $Cram\acute{e}r$-von Mises statistic's randomly censored version for a simple hypothesis based on the Kaplan-Meier product limit of the distribution function. We apply their idea to the other statistics based on the empirical distribution function such as the Kolmogorov-Smirnov and Liao and Shimokawa (Journal of Statistical Computation and Simulation, 64, 23-48, 1999) statistics. The latter is a hybrid of the Kolmogorov-Smirnov, $Cram\acute{e}r$-von Mises, and Anderson-Darling statistics. These statistics as well as the Koziol-Green statistic are considered as test statistics for randomly censored Weibull distributions with estimated parameters. The null distributions depend on the estimation method since the test statistics are not distribution free when the parameters are estimated. Maximum likelihood estimation and the graphical plotting method with the least squares are considered for parameter estimation. A simulation study enables the Liao-Shimokawa statistic to show a relatively high power in many alternatives; however, the null distribution heavily depends on the parameter estimation. Meanwhile, the Koziol-Green statistic provides moderate power and the null distribution does not significantly change upon the parameter estimation.

A Study on Statistical Distribution of Muzzle Velocity of 155mm Propelling Charge (155mm 추진장약 포구속도의 확률분포 특성 연구)

  • Park, Sung-Ho;Park, No-Seok;Choi, Beong-Doo;Kim, Jae-Hoon
    • Proceedings of the Korean Society of Propulsion Engineers Conference
    • /
    • 2009.11a
    • /
    • pp.339-343
    • /
    • 2009
  • The aim of the study was to investigate the statistical distribution of muzzle velocity of 155mm propelling charge K676 which is for the use of K9, a korean 155mm self-propelled artillery. A plenty of muzzle velocity data were collected from lot assessment test of propelling charge. The muzzle velocity of each test round is compensated by reference round. In the present work, the detailed statistical analysis of the muzzle velocity data is carried out using probability models including normal, Weibull 2-parameter and Weibull 3-parameter distributions. The results of goodness of fit test showed that the normal distribution described more appropriately the experimentally measured muzzle velocity data and the Weibull distribution is also applicable. The coefficient of variation showed that the mass production capability of each propelling charge lot has been maintained.

  • PDF