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Benton, Roberta L. – 1991
The redundancy statistic (Rd) is discussed in relation to canonical correlation analysis. The index is a measure of the variance of one set of variables predicted from the linear combination of the other set of variables. A small data set (N=6) from the work of D. Clark (1975) was analyzed using SPSS-X. Two sets of two variables each were…
Descriptors: Correlation, Mathematical Models, Multivariate Analysis, Predictive Measurement
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English, Justin; Allison, James – Psychological Review, 1993
A model is presented that demonstrates that a random response to external constraint can produce results similar to those predicted by more complex models. Behavior that appears rational, optimal, or adaptive may truly be a random response to external constraint. Predictions based on this model may provide appropriate null hypotheses. (SLD)
Descriptors: Behavior Patterns, Graphs, Hypothesis Testing, Mathematical Models
Bjornstad, Jan F. – 1990
Modeling the population in survey sampling problems continues to be controversial. An important reason is that the likelihood principle makes it somewhat necessary to model the population. Estimating the population total in two-stage survey sampling is considered, making use of a "superpopulation" model. The problem is then really one of…
Descriptors: Equations (Mathematics), Mathematical Models, Maximum Likelihood Statistics, Predictive Measurement
Harris, Richard J. – 1992
Interpretation of emergent variables on the basis of structure coefficients (zero order correlations between original and emergent variables) is potentially very misleading and should be avoided in favor of interpretation on the basis of scoring coefficients. This is most apparent in multiple regression analysis and its special case, two-group…
Descriptors: Correlation, Discriminant Analysis, Mathematical Models, Multiple Regression Analysis
Ferrell, Charlotte M. – 1992
Statistical significance is often misinterpreted to mean replicability or generalizability of results, although a statistically significant difference does not equal a reliable difference. Sample splitting procedures may be a more accurate way of estimating research result generalizability. This type of cross-validation involves randomly dividing…
Descriptors: Equations (Mathematics), Generalization, Mathematical Models, Predictive Measurement
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Anderson, Sue M.; Muchinsky, Paul M. – Educational and Psychological Measurement, 1991
Two important parameters of the general utility function--the standard deviation of job performance and predictor performance--were examined in terms of their sensitivity to departures from underlying mathematical assumptions. Integral calculus was used to assess the effects of statistical violations of the assumptions underlying these parameters.…
Descriptors: Cost Effectiveness, Estimation (Mathematics), Job Performance, Mathematical Models
Rowell, R. Kevin – 1991
This paper explains how commonality analysis (CA) can be conducted using a specific Statistical Analysis System (SAS) procedure and some simple computations. CA is used in educational and social science research to partition the variance of a dependent variable into its constituent predicted parts. CA determines the proportion of explained…
Descriptors: Comparative Analysis, Life Satisfaction, Mathematical Models, Nursing Homes
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Pruzek, Robert M.; Lepak, Greg M. – Multivariate Behavioral Research, 1992
Adaptive forms of weighted structural regression are developed and discussed. Bootstrapping studies indicate that the new methods have potential to recover known population regression weights and predict criterion score values routinely better than do ordinary least squares methods. The new methods are scale free and simple to compute. (SLD)
Descriptors: Equations (Mathematics), Least Squares Statistics, Mathematical Models, Predictive Measurement
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Mendoza, Jorge L.; And Others – Multivariate Behavioral Research, 1991
Using a Monte Carlo simulation, a bootstrap procedure was evaluated for setting a confidence interval on the unrestricted population correlation (rho) assuming various degrees of incomplete truncation on the predictor. Sample size was the most important factor in determining accuracy and stability. Sample size should be at least 50. (SLD)
Descriptors: Computer Simulation, Correlation, Estimation (Mathematics), Mathematical Models
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Molenaar, Peter C. M.; And Others – Psychometrika, 1992
The dynamic factor model proposed by P. C. Molenaar (1985) is exhibited, and a dynamic nonstationary factor model (DNFM) is constructed with latent factor series that have time-varying mean functions. The use of a DNFM is illustrated using data from a television viewing habits study. (SLD)
Descriptors: Algorithms, Equations (Mathematics), Estimation (Mathematics), Factor Analysis
Kuo, Lynn; Cohen, Michael P. – 1993
Bayesian methods for estimating dose response curves in quantal bioassay are studied. A linearized multi-stage model is assumed for the shape of the curves. A Gibbs sampling approach with data augmentation is employed to compute the Bayes estimates. In addition, estimation of the "relative additional risk" and the "risk specific…
Descriptors: Bayesian Statistics, Equations (Mathematics), Estimation (Mathematics), Mathematical Models
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Gross, Alan L. – Psychometrika, 1990
A model is proposed for investigating test validity as a predictor of a criterion variable when there are both missing and censored scores in the data set. Implications for maximum likelihood estimation are discussed, and the method is illustrated with hypothetical data sets. (SLD)
Descriptors: Equations (Mathematics), Mathematical Models, Maximum Likelihood Statistics, Predictive Measurement
Peer reviewed Peer reviewed
Lehmann, Donald R.; Gupta, Sunil – Applied Psychological Measurement, 1989
Path Analysis of Covariance Matrix (PACM) is described as a way to separately estimate measurement and structural models using standard least squares procedures. PACM was empirically compared to simultaneous maximum likelihood estimation and use of the LISREL computer program, and its advantages are identified. (SLD)
Descriptors: Estimation (Mathematics), Least Squares Statistics, Mathematical Models, Maximum Likelihood Statistics
Ackerman, Terry A.; Evans, John A. – 1993
A didactic example is provided, using a Monte Carlo method, of how differential item functioning (DIF) can be eliminated (and thus better understood) when the complete latent space is used. The main source of DIF is that the matching single criterion used in some DIF procedures, Mantel Haenszel or Simultaneous Item Bias (SIBTEST), does not account…
Descriptors: Computer Simulation, Equations (Mathematics), Item Bias, Item Response Theory
Peer reviewed Peer reviewed
Woodruff, David – Journal of Educational Measurement, 1990
A method of estimating conditional standard error of measurement at specific score/ability levels is described that avoids theoretical problems identified for previous methods. The method focuses on variance of observed scores conditional on a fixed value of an observed parallel measurement, decomposing these variances into true and error parts.…
Descriptors: Error of Measurement, Estimation (Mathematics), Mathematical Models, Predictive Measurement
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