Descriptor
| Estimation (Mathematics) | 8 |
| Matrices | 8 |
| Sample Size | 8 |
| Correlation | 4 |
| Equations (Mathematics) | 4 |
| Mathematical Models | 3 |
| Simulation | 3 |
| Bayesian Statistics | 2 |
| Comparative Analysis | 2 |
| Goodness of Fit | 2 |
| Meta Analysis | 2 |
| More ▼ | |
Source
| Multivariate Behavioral… | 2 |
| Applied Psychological… | 1 |
| Educational and Psychological… | 1 |
| Journal of Educational… | 1 |
Author
| Becker, Betsy Jane | 2 |
| Chan, Wai | 2 |
| Baker, Frank B. | 1 |
| Bentler, Peter M. | 1 |
| Cohen, Jacob | 1 |
| Kaiser, Javaid | 1 |
| Nee, John C. M. | 1 |
| Rule, David L. | 1 |
Publication Type
| Reports - Evaluative | 6 |
| Journal Articles | 5 |
| Speeches/Meeting Papers | 3 |
| Reports - Research | 2 |
Education Level
Audience
Location
Laws, Policies, & Programs
Assessments and Surveys
| SAT (College Admission Test) | 1 |
What Works Clearinghouse Rating
Peer reviewedCohen, Jacob; Nee, John C. M. – Educational and Psychological Measurement, 1984
Two measures of association between sets of variables have been proposed for set correlation: the proportion of generalized variance, and the proportion of additionive variance. Because these measures are strongly positively biased, approximate expected values and estimators of these measures are derived and checked. (Author/BW)
Descriptors: Correlation, Estimation (Mathematics), Mathematical Formulas, Matrices
Peer reviewedChan, Wai; And Others – Multivariate Behavioral Research, 1995
It is suggested that using an unbiased estimate of the weight matrix may eliminate the small or intermediate sample size bias of the asymptotically distribution-free (ADF) test statistic. Results of simulations show that test statistics based on the biased estimator or the unbiased estimate are highly similar. (SLD)
Descriptors: Equations (Mathematics), Estimation (Mathematics), Matrices, Sample Size
PDF pending restorationKaiser, Javaid – 1994
A Monte Carlo study was conducted to compare the efficiency of Listwise deletion, Pairwise deletion, Allvalue, and Samemean methods in estimating the correlation matrix from data that had randomly occurring missing values. The four methods were compared in a 3x3x4 factorial design representing sample size, proportion of incomplete records in the…
Descriptors: Comparative Analysis, Correlation, Estimation (Mathematics), Matrices
Peer reviewedChan, Wai; Bentler, Peter M. – Multivariate Behavioral Research, 1996
A method is proposed for partially analyzing additive ipsative data (PAID). Transforming the PAID according to a developed equation preserves the density of the transformed data, and maximum likelihood estimation can be carried out as usual. Simulation results show that the original structural parameters can be accurately estimated from PAID. (SLD)
Descriptors: Equations (Mathematics), Estimation (Mathematics), Goodness of Fit, Matrices
Peer reviewedBecker, Betsy Jane – Journal of Educational Statistics, 1992
Combining information to estimate standardized partial regression coefficients in a linear model is discussed. A combined estimate obtained from the pooled correlation matrix is proposed, and its large sample distribution is obtained. The method is generalized to handle a random effects model in which correlation parameters vary across studies.…
Descriptors: Correlation, Equations (Mathematics), Estimation (Mathematics), Hypothesis Testing
Peer reviewedBaker, Frank B. – Applied Psychological Measurement, 1993
Using simulation, the effect that misspecification of elements in the weight matrix has on estimates of basic parameters of the linear logistic test model was studied. Results indicate that, because specifying elements of the weight matrix is a subjective process, it must be done with great care. (SLD)
Descriptors: Error Patterns, Estimation (Mathematics), Item Response Theory, Matrices
Rule, David L. – 1993
Several regression methods were examined within the framework of weighted structural regression (WSR), comparing their regression weight stability and score estimation accuracy in the presence of outlier contamination. The methods compared are: (1) ordinary least squares; (2) WSR ridge regression; (3) minimum risk regression; (4) minimum risk 2;…
Descriptors: Analysis of Covariance, Bayesian Statistics, Comparative Analysis, Computer Simulation
Becker, Betsy Jane – 1992
Analyses for results of a series of studies examining intercorrelations among a set of as many as p+1 variables are presented. Several estimators of a pooled or average correlation vector and its variances are derived for cases in which some studies do not report complete correlation matrices. A test of the homogeneity (consistency) of the…
Descriptors: Bayesian Statistics, College Entrance Examinations, Correlation, Equations (Mathematics)


