METRON
2012 - 2025
Current editor(s): Marco Alfo' From: Springer Sapienza Università di Roma Bibliographic data for series maintained by Sonal Shukla () and Springer Nature Abstracting and Indexing (). Access Statistics for this journal.
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Volume 77, issue 3, 2019
- The relationship between Gini terminology and the ROC curve pp. 171-178

- Edna Schechtman and Gideon Schechtman
- Priors via imaginary training samples of sufficient statistics for objective Bayesian hypothesis testing pp. 179-199

- D. Fouskakis
- Robust small area estimation in generalized linear mixed models pp. 201-225

- Sanjoy K. Sinha
- Bayesian treatment of non-standard problems in test analysis pp. 227-238

- Rajitha M. Silva, Yuping Guan and Tim B. Swartz
- Inference on $$P(X pp. 239-252

- Manoj Chacko and Shiny Mathew
- Comparing clusterings using combination of the kappa statistic and entropy-based measure pp. 253-270

- Evženie Uglickich, Ivan Nagy and Dominika Vlčková
Volume 77, issue 2, 2019
- Guest editor’s introduction to the special issue on “Hidden Markov Models: Theory and Applications” pp. 63-66

- Jan Bulla, Roland Langrock and Antonello Maruotti
- A continuous-time hidden Markov model for cancer surveillance using serum biomarkers with application to hepatocellular carcinoma pp. 67-86

- Ruben Amoros, Ruth King, Hidenori Toyoda, Takashi Kumada, Philip J. Johnson and Thomas G. Bird
- Penalized estimation of flexible hidden Markov models for time series of counts pp. 87-104

- Timo Adam, Roland Langrock and Christian H. Weiß
- Parameter redundancy and identifiability in hidden Markov models pp. 105-118

- Diana J. Cole
- Unsupervised separation of dynamics from pixels pp. 119-135

- Silvia Chiappa and Ulrich Paquet
- Estimation of Viterbi path in Bayesian hidden Markov models pp. 137-169

- Jüri Lember, Dario Gasbarra, Alexey Koloydenko and Kristi Kuljus
Volume 77, issue 1, 2019
- Statistical detection and classification of background risks affecting inputs and outputs pp. 1-18

- Nadezhda Gribkova and Ričardas Zitikis
- Assessing the influence of marketing activities on customer behaviors: a dynamic clustering approach pp. 19-42

- Antonello Maruotti, Jan Bulla and Tanya Mark
- The Gini mean difference and variance pp. 43-52

- Roberta La Haye and Petr Zizler
- A recursive approach for determining matrix inverses as applied to causal time series processes pp. 53-62

- Serge B. Provost and John N. Haddad
Volume 76, issue 3, 2018
- Remembering Giuseppe Leti pp. 283-285

- Francesco Maria Chelli
- Fisher information matrix of binary time series pp. 287-304

- Xu Gao, Daniel Gillen and Hernando Ombao
- Likelihood, credible and confidence intervals for parameters in complex models pp. 305-320

- Murray Aitkin
- Bayesian quantile regression for analyzing ordinal longitudinal responses in the presence of non-ignorable missingness pp. 321-348

- Siamak Ghasemzadeh, Mojtaba Ganjali and Taban Baghfalaki
- Estimation of small area counts with the benchmarking property pp. 349-378

- M. Giovanna Ranalli, Giorgio E. Montanari and Cecilia Vicarelli
Volume 76, issue 2, 2018
- Modelling bivariate lifetime data using copula pp. 133-153

- N. Unnikrishnan Nair, P. G. Sankaran and Preethi John
- A Bayesian approach to estimate the failure time distribution of a log-logistic degradation model pp. 155-176

- Aymen Rawashdeh, Mohammed Hassan Al-Haj Ebrahem and Ayat Momani
- On application of the univariate Kotz distribution and some of its extensions pp. 177-201

- Mahdi Salehi and Adelchi Azzalini
- Dealing sensitive characters on successive occasions through a general class of estimators using scrambled response techniques pp. 203-230

- Kumari Priyanka, Pidugu Trisandhya and Richa Mittal
- Analyzing efficiency for the multi-category parallel method pp. 231-250

- Heiko Groenitz
- Confidence, credibility and prediction pp. 251-268

- Murray Aitkin and Charles Liu
- Comment on “confidence, credibility and prediction” pp. 269-271

- Roderick J. Little
- Comment on “Confidence, credibility and prediction” pp. 273-275

- A. H. Welsh
- Authors’ response to the contributors to the discussion on “Confidence, credibility and prediction” pp. 277-281

- Murray Aitkin and Charles Liu
Volume 76, issue 1, 2018
- Theoretical and empirical distributions of the p value pp. 1-30

- J. S. Butler and Peter Jones
- A note on predictive densities based on composite likelihood methods pp. 31-48

- Paolo Vidoni
- Penalised inference for lagged dependent regression in the presence of autocorrelated residuals pp. 49-68

- Hamed Haselimashhadi and Veronica Vinciotti
- Analysis of variance for multivariate time series pp. 69-82

- Hideaki Nagahata and Masanobu Taniguchi
- Cointegration models with non Gaussian GARCH innovations pp. 83-98

- Nimitha John and Balakrishna Narayana
- On the exact distribution of order statistics arising from a doubly truncated bivariate elliptical distribution pp. 99-114

- Roohollah Roozegar, Ahad Jamalizadeh, Mehdi Amiri and Tsung-I Lin
- A Jensen–Gini measure of divergence with application in parameter estimation pp. 115-131

- Yaser Mehrali, Majid Asadi and Omid Kharazmi
Volume 75, issue 3, 2017
- Metron: a theoretical journal motivated by real life applications pp. 243-244

- Giovanni Giorgi
- Foreword to the special issue on “Advances in Survey Statistics” pp. 245-247

- Jean D. Opsomer, M. Giovanna Ranalli and Maria Michela Dickson
- Alternative and complementary approaches to spatially balanced samples pp. 249-264

- R. Benedetti, F. Piersimoni and Paolo Postiglione
- Model-based variance estimation in two-dimensional systematic sampling pp. 265-275

- Giuseppe Espa, Diego Giuliani, Flavio Santi and Emanuele Taufer
- Graph sampling pp. 277-299

- L.-C. Zhang and M. Patone
- Kernel estimation for a superpopulation probability density function under informative selection pp. 301-318

- Daniel Bonnéry, F. Jay Breidt and François Coquet
- Estimation of a cluster-level regression model under nonresponse within clusters pp. 319-331

- Nuanpan Lawson and Chris Skinner
- Multiply robust imputation procedures for zero-inflated distributions in surveys pp. 333-343

- Sixia Chen and David Haziza
- A measurement error model approach to survey data integration: combining information from two surveys pp. 345-357

- Seho Park, Jae Kwang Kim and Diana Stukel
- On a non-parametric confidence interval for the regression slope pp. 359-369

- Róbert Tóth and Ján Somorčík
- Information consistency of the Jeffreys power-expected-posterior prior in Gaussian linear models pp. 371-380

- Dimitris Fouskakis and Ioannis Ntzoufras
Volume 75, issue 2, 2017
- Foreword pp. 125-126

- Jacques Silber
- At the roots of Gini’s transvariation: extracts from “Il concetto di transvariazione e le sue prime applicazioni” pp. 127-140

- Maria Grazia Pittau and Roberto Zelli
- Nonparametric and Gaussian bivariate transvariation theory: its applications to economics pp. 141-160

- Camilo Dagum
- Similarity, dissimilarity and exceptionality: generalizing Gini’s transvariation to measure “differentness” in many distributions pp. 161-180

- Gordon Anderson, Oliver Linton and Jasmin Thomas
- An index for proximity of two distributions pp. 181-194

- Nicholas T. Longford
- On the asymptotic distribution of (generalized) Lorenz transvariation measures pp. 195-213

- Teng Wah Leo
- Lorenz order with common finite support pp. 215-226

- Barry C. Arnold and D. V. Gokhale
- On the centennial anniversary of Gini’s theory of statistical relations pp. 227-242

- Donato Michele Cifarelli and Eugenio Regazzini
Volume 75, issue 1, 2017
- The Bonferroni index and the measurement of distributional change pp. 1-16

- Elena Barcena-Martin and Jacques Silber
- The influence function of Gini’s gamma pp. 17-29

- Claudio G. Borroni and D. Michele Cifarelli
- A new class of bivariate copulas: dependence measures and properties pp. 31-50

- Hakim Bekrizadeh and Babak Jamshidi
- A new distribution function with bounded support: the reflected generalized Topp-Leone power series distribution pp. 51-68

- Francesca Condino and Filippo Domma
- Rayleigh distribution revisited via ranked set sampling pp. 69-85

- Sanku Dey, Mahdi Salehi and Jafar Ahmadi
- A flexible extension of skew generalized normal distribution pp. 87-107

- Mahdi Rasekhi, G. G. Hamedani and Rahim Chinipardaz
- Trivariate Burr-III copula with applications to income data pp. 109-124

- Lucio De Capitani, Federica Nicolussi and Alessandro Zini
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