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1.
Zusammenfassung In dieser Arbeit wird die asymptotische Verteilung des Prognosefehlers, wie er sich im Rahmen einer dynamischen Simulation eines allgemeinen autoregressiven ökonometrischen Modells der Ordnungp (einschließlich verzögerter exogener Variabler der Ordnungq) ergibt, abgeleitet. Daran anschließend werden einige Fragestellungen, die damit in unmittelbarem Zusammenhang stehen, diskutiert: Die Frage der relativen Effizienz der Prognoseschätzung, basierend auf der unrestricted- bzw. der derived reduced form, die Verwendung der asymptotischen Verteilung des Prognosefehlers für einen predictive test des Modells. Außerdem werden asymptotische simultane Prognoseintervalle abgeleitet.
Summary The asymptotic distribution of the forecast error in the dynamic simulation of a higher than first order linear dynamic econometric model is derived and related topics are discussed.
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2.
Dietmar Ferger 《Metrika》2004,60(1):33-57
In this article a systematic study is given of the asymptotic behavior of two-sample tests based on U-Statistics with arbitrary antisymmetric kernels . Besides the investigation under the hypothesis and under fixed alternatives we determine the local power as a function of as well as its maximizing value opt. Moreover formulas for the asymptotic relative efficiency ARE(2,1) of the 2-test with respect to the 1-test are derived. It turns out that opt also yields the most efficient test in the sense that ARE(opt,)1 for all (admissible) kernels .  相似文献   

3.
Generalized Efficiency Measures (GEMS) for use in DEA are developed and analyzed in a context of differing models where they might be employed. The additive model of DEA is accorded a central role and developed in association with a new measure of efficiency referred to as RAM (Range Adjusted Measure). The need for separately treating input oriented and output oriented approaches to efficient measurement is eliminated because additive models effect their evaluations by maximizing distance from the efficient frontier (in 1, or weighted 1, measure) and thereby simultaneously maximize outputs and minimize inputs. Contacts with other models and approaches are maintained with theorems and accompanying proofs to ensure the validity of the thus identified relations. New criteria are supplied, both managerial and mathematical, for evaluating proposed measures. The concept of approximating models is used to further extend these possibilities. The focus of the paper is on the physical aspects of performance involved in technical and mix inefficiencies. However, an Appendix shows how overall, allocative and technical inefficiencies may be incorporated in additive models.  相似文献   

4.
Hypocrisy pay     
Emotional labor—putting on an act asrequired explicitly orimplicitly in work situations-is very often psychologically, emotionally, and mentally damaging to most employees. As for soldiers in wartime who receive combat pay, it is suggested that such employees be specially compensated for their emotional labor with hypocrisy pay. Another solution is to select only those who are immune to such stress for jobs involving emotional labor—an ideal that probably cannot be achieved in all cases. Another assessment is that such special compensation is unwarranted.  相似文献   

5.
Let be a semiorder on a countable setX and letx0 y if and only if either there existsx withxxy or there existsx withxxy. Then 0 is a preference relation with transitive indifference, which can be represented by a utility functionf of the usual sort. It is well known that is represented by a pair of real-valued functionsu, v, in the sense thatxy if and only ifu(x)>v(y). We prove that there exists a pair of functionsu, v, representing , such thatu+v is the utility function which represents in the usual sense. Moreover it is easily seen that, for such a pair of functionsu, v, we havex0 y if and only if eitheru(x)>u(y) or (u(x)=u(y) andv(x)>v(y)).
Sommario Consideriamo unsemiordine su un insiemeX numerabile e poniamox0 y se e solo se esistex tale chexxy, oppure esistex tale chexxy. In questo caso 0 è unordine debole, che può essere rappresentato da una funzione di utilitàf nel senso usuale. D'altra parte è rappresentato da una coppia di funzioniu, v, nel senso chexy se e solo seu(x)>v(y). In questo lavoro si prova che ammette una rappresentazioneu, v tale chex0 y se e solo seu(x)+v(x)>u(y)+v(y). Si dimostra altresì che, con riguardo ad una siffatta rappresentazioneu, v di , riescex0 y se e solo seu(x)>u(y) oppure (u(x)=u(y) ed anchev(x)>v(y)).
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6.
Much of the current research on participative decision making focuses on the increasing need for broad-based decision-making systems, on the different outcomes associated with different forms of participation, or on the problems associated with poorly managed participative decision-making systems. This article considers the responsibilities of employees who participate in organizational decision making and the responsibilities of employers who expect to share decision-making tasks. A Bill of Responsibilities for Employees and a Bill of Responsibilities for Employers are presented. Pitfalls associated with neglecting these responsibilities are discussed.  相似文献   

7.
A dual approach for matrix-derivatives   总被引:1,自引:0,他引:1  
W. Polasek 《Metrika》1985,32(1):275-292
Summary A dual approach for matrix by matrix derivatives is proposed, based on the work ofBalestra and the idea ofDwyer/MacPhail. The two derivative concepts are calledB-type derivative for the form B/A = (b kl /A), because it was studied fully inBalestra, andA-type derivative for the form B/ /A = (B/a ij ). Both derivative concepts are linked by permutation matrices, which also reveil the duality aspect more clearly, and can be transformed to each other very easily. The derivatives are applied to least squares estimates and posterior means in the general regression model and the seemingly unrelated regression (SUR)-system, introduced byZellner. The derivatives with respect to the covariance matrix is related to the local sensitivity concept ofLeamer [1978], while the derivatives with respect to the data-matrix, also called local resistance, is linked with the robustness concept ofTukey. The newly definedB-derivative enables an easier interpretation of the results.  相似文献   

8.
N. D. Shukla 《Metrika》1979,26(1):183-193
Summary The estimation of the regression coefficient of a population, defined byE (y)= +x, incorporating two preliminary tests of significance has been discussed. The experimenter has two random samples of different sizes from two such populations, as defined above, with regression coefficients 1 and 2 respectively, where 2 may possibly be equal to 1. Besides this, it is also conjectured that the common conditional variance 2 of the two populations has a specified value 0 2 . The two preliminary tests are used to resolve these two uncertainties.The author has rejoined Lucknow University, Lucknow India on Oct. 4, 1976 after availing leave for two years.  相似文献   

9.
Summary Observing that the estimator for a finite population variance as recommended byLiu [1974a, b] can sometimes become negative, we suggest a few non-negative alternative estimators and note some of their properties. UnlikeLiu we follow the conventional Bayesian approach to get another estimator with an optimal property of uniform admissibility.This paper, however, was prepared when the author worked in the Department of Economic Statistics, University of Sydney.  相似文献   

10.
The paper investigates the operating efficiency differences of a sample of commercial banks across 10 European countries. First, the paper analyzes the technical efficiency of each country sample following the basic Data Envelopment Analysis (DEA) model incorporating only banking variables. Then, a complete DEA model is introduced, incorporating environmental factors together with the banking variables of the basic model. The comparison between the two models shows that country-specific environmental conditions exercise a strong influence over the behavior of each country's banking industry.  相似文献   

11.
The importance of evaluating a discipline system from an ethical perspective is considered. Disciplinary practices in contemporary organizations are frequently characterized by managers having to choose from among alternative courses of corrective action. Since the selected alternative may have serious consequences for the individuals involved, its rightness or wrongness is of concern. The pattern of these choices reflects the overall disciplinary practice of the organization, and is an issue that warrants attention from an ethical perspective. Basic schools of thought that influence contemporary discipline practices are discussed and suggestions are made for conducting an evaluation of the ethical nature of a discipline system.  相似文献   

12.
Sexual harassment is now recognized as a potential problem for most organizations. The purpose of this paper is to provide an introduction to the various aspects of sexual harassment as a problem: its definition (including both the economic injury and hostile environment types of harassment), its characteristics, and a discussion of how to deal with such problems in the workplace. Organizations are encouraged to act affirmatively by (1) establishing a policy prohibiting sexual harassment in the organization; (2) establishing and making employees aware of a grievance procedure for sexual harassment complaints; and (3) educating employees about the problem of sexual harassment through a combination of awareness and experiential training techniques.  相似文献   

13.
R. Grübel 《Metrika》1985,32(1):327-337
Summary This paper deals with the distribution of the first partial sum of a sequence of independent and identically distributed random variables which is divisible by some integerk>1. We give a formula for its characteristic function and obtain limit results fork. A new characterization of the geometric distribution is also given. The results are applicable to models such as periodically observed self-renewing aggregates.  相似文献   

14.
Conditions are given for the existence of a pair of continuous real valued functions (u, v) representing an interval order on a topological space (X, ), in the sense that [xy if and only ifu(x)].I am deeply indepted to Professor Alain Chateauneuf for many valuable suggestions.  相似文献   

15.
The fast-growing category of defamation lawsuits in the United States involves actions by employees against their employers. Over the last decade, the courts have increasingly ruled in favor of the employee plaintiffs, thus creating an employee's right to reputation. This article identifies a variety of responses undertaken by organizations to reduce their legal liability and lessen the likelihood of employee defamation lawsuits. We argue that while organizational actions to reduce their legal liability may appear rational, such responses may also be creating situations in which employers, employees, and the public may be the unintended victims of a law without justice. The article concludes with a discussion of balancing the freedom necessary for managers to communicate about employees and the fairness of that communication.  相似文献   

16.
Dopo aver introdotto delle operazioni logiche fra eventicondizionati (che estendono opportunamente quelle usuali fra eventi), si definisce il concetto di iperprobabilità condizionata Si può così dare una interpretazione significativa della pseudodensità condizionata, introdotta da R. Scozzafava nell'inferenza statistica bayesiana.
By a suitable extension of the usual algebra of events, logical operations forconditional events are introduced. This leads to a definition of conditional iperprobability, which is the natural tool for a sensible interpretation of the concept of conditional pseudodensity, introduced by R. Scozzafava in Bayesian statistical inference.
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17.
Sommario Si considerino fluttuazioni e crescita in un modello neo-keynesiano in tre diverse ipotesi macroeconomiche, che danno origine a diversi modelli matematici in tempo discreto, o mappe. In particolare si analizza un modello di crescita bidimensionale, rappresentato da un endomorfismo lineare a tratti. Separando il comportamento dinamico delle pendenze di rette che escono dall'origine, dalla dinamica dei punti su tali rette, si mostra che il comportamento dinamico del modello è governato dalla dinamica di un endomorfismo unidimensionale. Ciò semplifica lo studio dei valori di biforcazione che creano rette invarianti, su cui le traiettorie sono divergenti, e consente di determinare il bacino di attrazione di regioni assorbenti che contengono i cammini di crescita, regolari o caotici.
Fluctuations and growth in a new-keynesian model are considered in three different macroeconomic assumptions, giving rise to different mathematical models in discrete time, or maps. In particular a two-dimensional growth model represented by a piecewise linear endomorphism is analysed. Separating the dynamics of the slopes of straight lines issuing from the origin, from those of the points on these lines, it is shown that the dynamics of the model are governed by the dynamics of a one-dimensional endomorphism. This simplifies the study of the bifurcation values which create invariant lines on which the trajectories are divergent, and enable us to determine the basin of attraction of the absorbing region which includes regular or chaotic growth paths.


This paper relates to the activities of the M.U.R.S.T. Group Dinamiche Nonlineari ed Applicazioni alle Scienze Economiche e Sociali.  相似文献   

18.
Consider the linear regression model with uncorrelated errors and an experimental design . In the article, we address the problem of calculating the minimal efficiency of with respect to the class of orthogonally invariant information criteria, containing all Kiefers criteria of p-optimality, among others. We show that the -minimal efficiency of is equal to the minimal efficiency of with respect to a finite class of criteria which generalize the criterion of E-optimality. We also formulate conditions under which a design is maximin efficient, i.e. the most efficiency-stable for criteria from . To illustrate the results, we calculated the -minimal efficiency of p (in particular D, A and E) optimal designs for polynomial regression on [–1,1] up to degree 4. Moreover, for the quadratic model we explicitly constructed the -maximin efficient design.Acknowledgement. The author would like to thank prof. Pázman as well as an anonymous referee for useful and inspiring comments on earlier versions of this article.Supported by: VEGA grant of the Slovak Agency No. 1/0264/03  相似文献   

19.
C. H. Kapadia  D. L. Weeks 《Metrika》1984,31(1):127-144
Summary In this paper, an Eisenmhart Model II with interaction for a GD-PBIB design withp replicates per cell is considered. Specifically the Model Yijl=µ+i+j+()ij+eijl is assumed, wherei=1, 2, ...,b; j=1, 2, ...,t andl=0, 1, 2, ...p s ij wheres ij=1, if treatmentj appears in blocki, 0, otherwise.If i, j, ()ij ande ijl are normally and independently distributed, then a minimal sufficient (Vector-valued) statistic for the class of densities for this model is found, together with the distribution of each component in the minimal sufficient statistic. It is also shown that the minimal sufficient statistic for this class densities is not complete. Hence the solution of the problem of finding minimum variance unbiased estimators of the variance components is not straightforward.  相似文献   

20.
Dr. P. Findeisen 《Metrika》1982,29(1):95-102
LetF () be a family of distribution functions with a translation parameter such thatF (0) has a densityf. It is well known that each sample median is a maximum likelihood estimate of , iff belongs to the classE of all bilateral exponential densities which are symmetric about 0. Here it is shown that, conversely,fE holds, either if there is an evenm such that for every sample of sizem each median is an MLE of , or if there is an infinite setM such that for every sample of any sizemM at least one median is an MLE of .  相似文献   

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