Metron - International Journal of Statistics
1999 - 2011
From Dipartimento di Statistica, Probabilità e Statistiche Applicate - University of Rome
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Volume LXV, issue 3, 2007
- Distribution of Shannon statistic from normal sample pp. 259-275

- Mamoun Abu Hammad and Adnan M. Awad
- Statistics with fuzzy random variables pp. 277-303

- Ana Colubi, Renato Coppi, Pierpaolo D’urso and Maria angeles Gil
- On probability limits for phase II S control chart pp. 305-318

- Lingyun Zhang and K. Govindaraju
- Proportional mean residual life model for gap time distributions of recurrent events pp. 319-336

- V. N. Sreeja and P. G. Sankaran
- Assessing the goodness of fit of a latent variable model for ordinal data pp. 337-361

- Silvia Cagnone and Stefania Mignani
- The geometry of inadmissibility of independent observations for estimating a single parameter in two-parameter ordered symmetric problems pp. 363-370

- Constantine E. Frangakis and Hao Wu
- On a stress – strength model in Burr of type III pp. 371-385

- Ahmed Ibrahim Shawky and Fawziah Hassan Al-Kashkari
Volume LXV, issue 2, 2007
- A sequentially rejective procedure for exponential populations pp. 133-151

- Gulfam Siddiqui, Narinder Kumar and Gobind P. Mehta
- A new bivariate beta distribution with application to drought data pp. 153-174

- Saralees Nadarajah
- Robustification and performance evaluation of empirical risk measures and other vector-valued estimators pp. 175-199

- Vytaras Brazauskas, Bruce L. Jones and Ricardas Zitikis
- A general class of estimators in successive sampling pp. 201-227

- Housila P. Singh and Gajendra K. Vishwakarma
- Efficient neighbour balanced block designs for correlated observations pp. 229-238

- Jitendra Singh Tomar and Seema Jaggi
- Reliability estimation based on general progressive censored data from theWeibull model: comparison between Bayesian and classical approaches pp. 239-257

- Ayman M. Abd-Elrahman and Khalaf S. Sultan
Volume LXV, issue 1, 2007
- Editorial pp. 1-2

- Pier Luigi Conti
- Doing thousands of hypothesis tests at the same time pp. 3-21

- Bradley Efron
- Optimum simple step-stress plan for log-logistic cumulative exposure model pp. 23-34

- Mohammed Al-Haj Ebrahem and Abedel-Qader Al-Masri
- Markov chains on the reference set of contingency tables with upper bounds pp. 35-51

- Fabio Rapallo and Maria Piera Rogantin
- A simple characterization of Student’s t2 distribution pp. 53-57

- Ludmila Nevzorova, Valery B.Nevzorov and Ilham Akhundov
- A simple randomized response technique in complex surveys pp. 59-66

- Amitava Saha
- Conflicting information and location parameter inference pp. 67-97

- Alain Desgagné and Jean-François Angers
- Estimation of finite population mean using multi-auxiliary information pp. 99-112

- Giancarlo Diana and Pier Francesco Perri
- On the Pitman estimator for a family of non-regular distributions pp. 113-127

- Masafumi Akahira, Nao Ohyauchi and Kei Takeuchi
- Book reviews pp. 129-131

- Valentina Guizzi
Volume LXIV, issue 3, 2006
- Editorial pp. 273-274

- Giovanni Giorgi
- Causal effects in the presence of non compliance: a latent variable interpretation pp. 275-301

- Antonio Forcina
- Decomposition for polynomial cumulative symmetry model in square contingency tables with ordered categories pp. 303-314

- Sadao Tomizawa, Nobuko Miyamoto and Kouji Yamamoto
- D-optimal designs in two orthogonal blocks for Darroch and Waller's quadratic model in constrained mixture components pp. 315-326

- Manohar L. Aggarwal and Poonam Singh
- A dependence measure for bivariate failure time data pp. 327-341

- Paduthol Gaduthol Sankaran, Bovas Abraham and Ansa Alphonsa Antony
- Variance residual life function in reliability studies pp. 343-355

- Ramesh C. Gupta
- Alternative Shewhart-type charts for grouped observations pp. 357-375

- Willem Albers and Wilbert C.M. Kallenberg
- Explicit expressions for moments of beta order statistics pp. 377-384

- Saralees Nadarajah
- Gini indices as areas and covariances: what is the difference between the two representations? pp. 385-397

- Edna Schechtman and Ricardas Zitikis
- A new test of association and other tests based on the Gini mean difference pp. 399-409

- Magdalena Niewiadomska-Bugaj, Teresa Kowalczyk and Hend Ouda
Volume LXIV, issue 2, 2006
- A characterization of multivariate distributions by conditional moments pp. 131-144

- F. Lopez Blasquez and D. Pommeret
- A generalization of Huang's randomized response procedure for the estimation of population proportion and sensitivity level pp. 145-159

- Marzia Marcheselli and Lucio Barabesi
- Estimation of variance from missing data pp. 161-177

- Raghunath Arnab and Sarjinder Singh
- Bayesian estimation procedures for a family of lifetime distributions under squared-error and entropy losses pp. 179-198

- Ajit Chaturvedi and Khumukcham Gopichandra Singh
- Progressively censored data from the linear exponential distribution: moments and estimation pp. 199-215

- Mahmoud R. Mahmoud, Khalaf S. Sultan and Hassan M. Saleh
- Distribution and percentage points of LRC for testing multisample compound symmetry in the bivariate and the trivariate cases pp. 217-238

- Daya K. Nagar and Maria Eugenia Castaneda
- Reliability studies of bivariate distributions with Pearson type VII conditionals pp. 239-251

- Ramesh C. Gupta
- The role of the exogenous randomness in the identification of conditional models pp. 253-271

- Abderrahim Oulhaj and Michel Mouchart
Volume LXIV, issue 1, 2006
- High-dimensional intergration for robustness pp. 1-17

- Chris Field, Stephan Morgenthaler and John W. Tukey
- Equivalence of posteriors in the Bayesian analysis of the multinomial-Poisson transformation pp. 19-28

- Malay Ghosh, Li Zahng and Bhramar Mukherjee
- On the asymptotic inference for response-adaptive experiments pp. 29-45

- Alessandro Baldi Antognini and Alessandra Giovagnoli
- Nonparametric estimation of P(X pp. 47-60

- Ayman Baklizi and Omar Eidous
- On the distribution of random Dirichlet jumps pp. 61-92

- Nils Lid Hjort and Andrea Ongaro
- A parametric model for income and other size distributions and some extensions pp. 93-106

- William J. Reed
- Asymptotic and bootstrap inference for the generalized Gini indices pp. 107-124

- Giovanni Giorgi, Paola Palmitesta and Corrado Provasi
Volume LXIII, issue 3, 2005
- Gini's scientific work: an evergreen pp. 299-315

- Giovanni Giorgi
- Inequality measures for multivariate distributions pp. 317-327

- Barry C. Arnold
- Gini diversity index, Hamming distance, and curse of dimensionality pp. 329-349

- Pranab K. Sen
- An index of monotonicity and its estimation: a step beyond econometric applications of the Gini index pp. 351-372

- Youri Davydov and Ricardas Zitikis
- The Gini coefficient reveals more pp. 373-400

- Peter J. Lambert and André Decoster
- The properties of the extended Gini measures of variability and inequality pp. 401-433

- Shlomo Yitzhaki and Edna Schechtman
- Objective Bayesian intervals: some remarks on Gini's approach pp. 435-450

- Benito V. Frosini
- The use of the Lorenz curve, Gini index and related measures of relative inequality and uniformity in securities law pp. 451-469

- Joseph Gastwirth, Reza Modarres and Efstathia Bura
- Gini's mean difference and the measurement of absolute mobility pp. 471-492

- Jacques Silber and Michal Weber
- Decomposition of rank-dependent measures of inequality by subgroups pp. 493-503

- Rolf Aaberge, Steinar Bjerve and Kjell Doksum
- About a class of max-stable families with applications to income distributions pp. 505-527

- José María Sarabia and Enrique Castillo
- Inverse stochastic orders and generalized Gini functionals pp. 529-559

- Fabio Maccheroni, Pietro Muliere and Claudio Zoli
Volume LXIII, issue 2, 2005
- Longitudinal and incomplete clinical studies pp. 143-176

- Geert Verbeke and Geert Molenberghs
- Outliers in block designs for diallel crosses pp. 177-191

- Subhra Sarker, Rajender Parsad and Vinod Kumar Gupta
- Testing for the order of risk measures: an application of L-statistics in actuarial science pp. 193-211

- Bruce L. Jones and Ricardas Zitikis
- The exact sampling distribution of L-statistics pp. 213-223

- Corrado Crocetta and Nicola Loperfido
- Survey of developments in the theory of continuous skewed distributions pp. 225-261

- Samuel Kotz and Donatella Vicari
- A look at the structure of some extended Ginis pp. 263-296

- Walter Piesch
Volume LXIII, issue 1, 2005
- On the measurement of concentration and variability of characters pp. 1-38

- Corrado Gini
- On certain countable mixtures of absolutely continuous distributions pp. 39-53

- Essam K. Al-Hussaini and Mohamed E. Ghitany
- Asymptotic distribution and robustness of minimum total variation distance estimators pp. 55-80

- Federico Bassetti and Eugenio Regazzini
- Identifiability Conditions for Spatio-Temporal Bayesian Dynamic Linear Models pp. 81-101

- Stefano Tonellato
- Optimum stratification for scrambled response in pps sampling pp. 103-114

- Pawan Kumar Mahajan and Ravindra Singh
- On a two-color generalized Polya urn pp. 115-134

- Caterina May, Anna Maria Paganoni and Piercesare Secchi