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All issues
:: (n-1)-out-of-n Systems. Stochastic Comparison of (n-1)-out-of-n Systems from Multiple-Outlier Modified Proportional Hazard Rates Components in terms of Hazard Rate Order [Volume 16, Number 1]
:: (n-1)-out-of-n Systems. Some Stochastic Orderings Among (n-1)-out-of-n Systems from Scale Components [Volume 15, Number 2]
:: Acceptance-Rejection Algorithm Properties of Statistical Distribution for Dihedral Angles [Volume 8, Number 1]
:: Additive Hazard Model Stochastic Comparisons of ‎$(‎‎n-1)$-out-of-‎$‎n‎$‎‎ Systems with Additive Hazard Components under Random Shocks [Volume 18, Number 1]
:: Affine Invariance. Multivariate Outlier Detection Based on Depth-Based Outlyingness Function [Volume 15, Number 2]
:: Allele Sharing IBD Haseman-Elston Regression Methods in Genetic Linkage Analysis [Volume 3, Number 2]
:: Approximation A New Proof for Winitzki's Approximation of Normal Cumulative Distribution Function [Volume 10, Number 2]
:: Asymptotic Confidence Interval Reliability Estimation in a Multicomponent n1Stress­ -n2Strength Model in the Inverse Exponential Distribution [Volume 16, Number 2]
:: Autoregressive process E-Optimal Block Design for Comparing Treatments with a Control and Correlated Observations [Volume 5, Number 2]
:: Bayes Estimation. Reliability Estimation of the Stress-Strength Model in Coherent Systems Based on Exponential Distribution [Volume 17, Number 1]
:: Bayesian Analysis Two Levels Analysis with Skew Normal Random Effects and Modeling of Longitudinal Data [Volume 7, Number 2]
:: Bayesian Analysis. Analysis of Gaussian Spatial Models with Covariate Measurement Error [Volume 13, Number 1]
:: Bayesian Approach. Geostatistical Survival Data Analysis with Bayesian Approach [Volume 18, Number 1]
:: Bayesian D-Optimal Bayesian D-Optimal Design for Poisson Regression Model with Random Effect [Volume 8, Number 2]
:: Bayesian Inference Bayesian Quantile Regression with Lasso and Adaptive Lasso Penalty for Binary Longitudinal Data [Volume 9, Number 2]
:: Bayesian Inference Bayesian Models in Proteins Alignment [Volume 9, Number 2]
:: Beta Distribution Sterling Polynomials and a New Generalization of Weibull- Geometric Distribution [Volume 9, Number 1]
:: Bi- modal Distribution Incorporating Various Distributional Properties Using Weight Distributions [Volume 4, Number 2]
:: Birth intervals Modelling Mixed Survival and Discrete Data Using Copula Function [Volume 10, Number 1]
:: Bivariate Analysis. Comparison of Three Moment Methods of Parameter Estimation for FGM Copula in the Presence of Outlier [Volume 16, Number 1]
:: Bivariate Skew-Normal. A Bivariate Zero-Inflated Poisson Model with Skew-Normal Random Effect [Volume 13, Number 1]
:: Block Composite Likelihood. Estimating of Spatial Covariance Function Using Block Differenced Composite Likelihood [Volume 12, Number 2]
:: Bootstrap Interval Likelihood and Bayesian Inference of the Stress-Strength Reliability Based on Record Values from Proportional and Proportional Reversed Hazard Rate Models [Volume 7, Number 2]
:: Bounded parameter space. Usual p-value and Modified p-value , How to Judge Better? [Volume 5, Number 1]
:: Burr Distribution. Comparison of Two Sampling Schemes for Extracting Record Data with Regard to Fisher Information [Volume 1, Number 1]
:: Burr type XII distribution. Bayesian and E-Bayesian estimators in Burr type XII model based on censored data under reflected gamma loss function [Volume 16, Number 2]
:: Car Crashes. Bayesian Analysis of Spatial Count Data in Finite Populations Using Stochastic Partial Differential Equations [Volume 14, Number 2]
:: Censored Data Shrinkage Testimation in Rayleigh Distribution and it's Application in Type-II Censored Data [Volume 12, Number 1]
:: Censored Data. A Class of Bayesian Shrinkage Estimators for the Scale Parameter of Weibull Distribution Based on Censored Data [Volume 14, Number 2]
:: Censoring scheme Adaptive Progressive Type-I Censoring and its Applications in Life Testing [Volume 6, Number 2]
:: Characterization A Characterization of the Pareto Distribution Based on Near-Record Observations [Volume 12, Number 2]
:: Characterization Quantile Dynamic Cumulative Residual Entropy and Characterizations of Uniform, Exponential and Pareto Distributions [Volume 10, Number 1]
:: Characterization. Quantile Based Tsallis Residual Entropy and its Divergence Measure [Volume 12, Number 2]
:: Characterization. Application of Extropy in Characterization of Some Continuous Distributions [Volume 17, Number 1]
:: Cholesky Decomposition. Improving of Structured Markov Chain Monte Carlo Algorithm in Multilevel Models [Volume 4, Number 1]
:: Colinearity. New Estimators of Modified Liu [Volume 12, Number 2]
:: Complementary Exponential Power Distribution A New Series of Complementary Exponential Power Distribution [Volume 8, Number 2]
:: Complex Systems. Mean Residual Life of Complex Systems Containing Two Components Per Element with Some Intact Components [Volume 13, Number 1]
:: Composite hypothesis. Comparison of Neyman-Pearson and Evidential Approaches in Separate One-Sided Tests Based on Model Misspecification Error [Volume 18, Number 2]
:: Consumer's and producer's risks. Optimal Repetitive Acceptance Sampling Inspection Plans by Attributes Based on Type I Censoring Using Two-point and Limited Weighted Methods [Volume 19, Number 1]
:: Convolution. Stochastic Comparisons of Convolution of Independent Random Variables in the Scale Model [Volume 16, Number 1]
:: Covid-19. Introduce a Survival Model with Spatial Skew Gaussian Random Effects and its Application in Covid-19 Data Analysis [Volume 15, Number 2]
:: Cyclic shifts Optimal Circular Neighbour-Balanced Designs [Volume 10, Number 2]
:: Data Cloning A New Model Selection Criterion Based on Data Cloning [Volume 12, Number 1]
:: Directional Dependence. Considering the Effect of Income Fluctuations in Cultural and Non-cultural Priority of Urban and Rural Families via Copula Function [Volume 13, Number 1]
:: Discharge and suspended load Modeling of Fuzzy Data with Multivariate Adaptive Regression Splines [Volume 8, Number 1]
:: Discrimination of Time Series. Maximum Likelihood Estimating of the Covariance Matrix of the ARMA Model Using Band Matrix [Volume 12, Number 2]
:: Distal Femur. Statistical Clustering of Shape Data [Volume 8, Number 2]
:: Double Normal Distribution. Inference in Normal Distribution Based on the Weighted Sampling [Volume 1, Number 1]
:: E-Bayesian Estimation. E-Bayesian Estimation of the Reliabilty Parameter for Inverse Rayleigh Distribution Based on Ranked Set Sampling [Volume 14, Number 1]
:: EM Algorithm Bayesian Regression Model with Finite Mixture Bivariate Poisson Response Variable [Volume 7, Number 1]
:: Empirical Bayes Method. Empirical Bayes Prediction for Space-Time Data Under Separable Model [Volume 1, Number 1]
:: Empirical maximum likelihood estimator Shrinkage Estimators in Semi-Parametric Heteroscedastic Hierarchical Models with Restricted Joint Empirical likelihood [Volume 18, Number 1]
:: Epidemiology Estimation of the Basic Reproduction Number by Period Dependent Branching Process [Volume 11, Number 2]
:: Establishment Surveys. Response Burden and Its Evaluation Methods [Volume 4, Number 1]
:: Estimation The Effect of Weight Function on the Estimation of Regression Parameters under Weighted Sampling [Volume 10, Number 2]
:: Estimation Parameters Estimation in the Regular Two-Stage Linear Models [Volume 12, Number 1]
:: Estimation of Possibility Bayes. Determine the Optimal Bayesian Fuzzy Membership Function Using Fuzzy Data [Volume 14, Number 1]
:: Estimation. Bivariate Rayleigh-Geometric Distribution [Volume 13, Number 2]
:: Evolutionary Neural Networks Inverse Multiquadratic Functions as Nonlinear Effects in Logistic Regression Models [Volume 7, Number 1]
:: Evolutionary algorithm Parameter Estimation for Logistic Regression Model Constructed by Evolutionary Product Unit Neural Networks [Volume 3, Number 1]
:: Exact Method. Testing the Equality of Regression Coefficients of Panel Models in Several Groups [Volume 15, Number 1]
:: Exchange Rate Analysis of Long-Term Memory in Volatility of Exchange Rate by FIGARCH Model with NIG Error [Volume 7, Number 2]
:: Expected Income. A Suggestion for Using Ranked Set Sampling in Household Expenditure and Income Survey [Volume 15, Number 2]
:: Expected Shortfall Equivalents of Tail Risk Measures Based on Inequality Indexes in the Economy and Reliability [Volume 18, Number 2]
:: Exponentiality Test. Comparison of Different Entropy Estimators and Power of Exponentiality Tests Based on Entropy Estimators [Volume 2, Number 2]
:: Exponentiated Weibull Distribution. On Likelihood Ratio Ordering of Parallel Systems with Two Generalized Exponential Components [Volume 16, Number 1]
:: Extrapolation Spatial Prediction By Using Unilateral Autoregressive Models In Two-Dimensional Space [Volume 12, Number 1]
:: Finite Mixture Model. A New Approach of Variable Selection in Finite Mixture of Semi-Parametric Regression Models with Poisson Distribution [Volume 11, Number 1]
:: Fisher Information Probability Models and Likelihood Functions for Window Censored Repair Process [Volume 11, Number 1]
:: Fisher information. The Generalizations of Discrete Distributions and Their Properties for Information Measures [Volume 5, Number 2]
:: Flag. A Probability Problem in Distinct Fuzzy Subgroups of a Group [Volume 2, Number 1]
:: Fluctuations of Iran's exchange rate Comparsion of Markov Switching Autoregresive and Self Exciting Threshold Autoregresive Models for Fluctuations of Exchange Rate of Iran [Volume 3, Number 2]
:: Folded Normal Distribution Distribution of the Maximum of Random Variables with Bivariate Folded Standard Normal Distribution, its Characteristics and Usage [Volume 9, Number 2]
:: Forward Search. Robust Analysis of Variance based on Permutation Distribution of Trimmed Mean [Volume 12, Number 1]
:: Frailty Variable A Semiparametric Model for Recurrent Event Data with Excess Zero under Competing Risks [Volume 8, Number 1]
:: Functional Central Limit Theorem Asymptotic of Score Test Statistic in Linear Regression with Stationary and Nonstationary Residuals [Volume 7, Number 2]
:: Fuzzy Random Variable Fuzzy Multiple Logistic Regression Under Fuzzy Random Errors [Volume 18, Number 2]
:: Fuzzy autoregressive. Autoregressive Modeling Based on the Support Function of Fuzzy Random Variables [Volume 18, Number 1]
:: Fuzzy moving average. Moving average modeling based on α-value of fuzzy random variables [Volume 18, Number 1]
:: Gamma Count Model. Analysis of Space-Time Count Data Using the Flexible Gamma-Count Model [Volume 15, Number 1]
:: Gene Expression Clustering Longitudinal Profiles Using Non-parametric and Semi-parametric Mixed Effects Models [Volume 11, Number 2]
:: General Location Model. General Location Model for Correlated Nominal Continuous and Ordinal Responses [Volume 6, Number 1]
:: Generalized Confidence Interval Confidence Intervals for The Ratio and Difference of Two C_pmk Indices Based on Asymptotic and Parametric Bootstrap Approaches [Volume 9, Number 2]
:: Generalized Farlie Gumbel Morgenstern Copulas Numerical Comparison of Some Phi-divergence Measures for Generalized Farlie Gumbel Morgenstern Copulas [Volume 6, Number 1]
:: Generalized Geometric Distribution. A Discrete Time Run Shock Model [Volume 14, Number 1]
:: Generalized Linear Mixed Effect (GLME) Model. Joint Model of Longitudinal Count and Time to Event Data with Excess Zeros Using the AFT Model: A Case Study of the HIV/ AIDS Dataset [Volume 15, Number 1]
:: Generalized P-Value Testing Equality of Coefficients of Variation of Several Normal Populations: with Parametric Bootstrap Method [Volume 8, Number 1]
:: Generalized Rayleigh Distribution. Bayes and Empirical Bayesian Estimator of Reliability Function in Multicomponent Stress-Strength System based on Generalized Rayleigh Distribution [Volume 14, Number 2]
:: Generalized Variable. Inference of Common Correlation Coefficient Based on Confidence Distribution Concept [Volume 14, Number 2]
:: Gibbs Algorithm Bayesian Analysis of Skew Normal Mixture Regression [Volume 11, Number 2]
:: Gibbs Algorithm. Bayesian LASSO Regression with Asymmetric Error in High Dimensional [Volume 15, Number 1]
:: Gibbs sampler A Multivariate Bayesian Model for Gene Networks [Volume 6, Number 2]
:: Growth regression Model. Fitting Growth Regression Model to the Boolean Random Sets [Volume 2, Number 1]
:: HIV. Variable Selection in Semiparametric Mixed Effect Model for High-Dimension Longitudinal Data [Volume 14, Number 2]
:: Hazard Function. Distributions Family of Extended Weibull Combined with Negative Binomial Distribution Truncated at Zero [Volume 15, Number 1]
:: Heavy-tailed. Integer-valued Autoregressive Model Based on Innovations with Discrete Exponential-Weibull Distribution [Volume 16, Number 2]
:: Hidden Failure. Joint Determination of Inspection and Preventive Replacement Policy of a Parallel System Subject to Hidden Failure [Volume 14, Number 1]
:: High Dimensional Double Penalized Mixed Effects Quantile Regression Modeling Using the Maximum Likelihood Approach [Volume 17, Number 2]
:: Homogeneity of Variances. Comparison of Variances Homogeneity Tests in Randomized Complete Block Design [Volume 12, Number 2]
:: Hypergeometric generalized negative binomial On Hypergeometric Generalized Negative Binomial Distribution in Promotion Time Cure Model [Volume 7, Number 1]
:: Importance Sampling. Estimating the Parameters of the Generalized Exponential Distribution Based on Unified Hybrid Censored [Volume 3, Number 1]
:: Importance Sampling. Estimation and Prediction for the Poisson-Exponential Distribution Based on Records and Inter-Record Times: A Comparative Study [Volume 15, Number 2]
:: Income-Expenditure Data Iterative Estimation of Parameters in Multilevel Models with Measurement Errors [Volume 7, Number 2]
:: Individual Risk Process Ruin Probability of Individual Risk Process of Insurance Company with Dependent Claims [Volume 6, Number 1]
:: Industrial establishment survey Advanced Missing Value Imputation Techniques: Machine Learning Methods with an Emphasis on an Ensemble Method for Multiple Imputation by Chained Equations [Volume 19, Number 1]
:: Instrumental variables The Improve of Two Stage Least Square Method in Regression Model with Endogenous Variables [Volume 10, Number 2]
:: Inverse Wishart Distribution. Comparing Risks of Estimators in Multiple Regression Model with Multivariate t Errors [Volume 1, Number 2]
:: Isotonic Regression An Improved Mean Estimator in Unbalanced Ranked Set Samples [Volume 8, Number 2]
:: Isovariance. An Approach to Deriving Equivariant Estimators [Volume 5, Number 2]
:: Job Search Model. On the Mean Residual of Records in the Geometric Random Record Model [Volume 17, Number 2]
:: Kernel function Trend Removal in Spatial Statistics Using Support Vector Regression [Volume 17, Number 2]
:: Kolbeck-Leibler divergence. Autoregressive Spatial Regression Model and Second-Order Moving Average for Generalized Skew-Laplace Random Field [Volume 18, Number 2]
:: Kriging Separate Block Bootstrap Method for Determining the Precision Measures of the Variogram Parameters Estimator and Spatial Prediction [Volume 3, Number 2]
:: Kshirsagar bound Multiparameter Bhattacharyya and Kshirsagar Lower Bounds for the Variance of Unbiased Estimators [Volume 7, Number 2]
:: Kullback Liebler Distance. The Effect of Correlation on the Change of Entropy of the Maximum Entropy joint Distribution [Volume 3, Number 2]
:: Kullback-Liebler Distance Goodness of Fit Tests of Exponentiality Based on New Entropy Estimators [Volume 7, Number 1]
:: Kullback-Liebler Information. Normality and Exponentiality Tests Based on New Entropy Estimators [Volume 2, Number 2]
:: Landform Data Statistical Shape Analysis of The Sand Hills in Ardestan in Presence of Measurement Error [Volume 12, Number 1]
:: Latent Variable Bayesian Analysis of Asymmetric Bivariate Ordinal Latent Variables Models [Volume 1, Number 2]
:: Length-Biased Data Bayesian and Cross Validation Estimation Bandwidth of Kernel Density Function Estimator for Length-biased Data [Volume 5, Number 1]
:: Levy Process. Estimating the Parameters of Periodic Bivariate Compound Poisson Process by Inference for Margins Method [Volume 13, Number 2]
:: Lifetime data. On Properties of a New Generalization of the Log-Logistic Distribution and Its Application [Volume 19, Number 1]
:: Light and heavy tailed distributions Infinite Time Ruin Probability in the Individual Risk Model with Dependent Structure for Light and Heavy Tailed Distributions [Volume 16, Number 2]
:: Likelihood Ratio Order New Results on Stochastic Comparison of (n-1) -out-of-n Systems [Volume 7, Number 1]
:: Likelihood Ratio Order. Ageing Properties of Modified Proportional Hazard Rates Model for Discrete Lifetime Distributions [Volume 14, Number 1]
:: Likelihood Ratio Test Estimations of Maximal Generalized Extreme Value Distribution Parameters and Modeling of Extreme Wind Speeds in Zaheden City [Volume 9, Number 2]
:: Lindley Distribution. Infinite Time Ruin Probability in the Risk Model of Excess Loss Reinsurance [Volume 16, Number 1]
:: Linear Memory. A Bidirectional Hidden Markov Model in Linear Memory [Volume 2, Number 2]
:: Log-Linear Model A Different Attitude in Analyzing $3$-Way Contingency Tables Using Conditional Independence [Volume 17, Number 1]
:: Lowest Posterior Loss. Bayesian Sample Size Computing for Normal Distribution via Lowest Posterior Loss Intervals [Volume 4, Number 1]
:: Lundberg Approximation The Analysis of Infinite Time Ruin Probability in the Collective Risk Model [Volume 11, Number 1]
:: MCMC Methods The Variance Estimation of Calibration Estimators of Population Total under an Unknown Population Total for Auxiliary Variables [Volume 6, Number 1]
:: MCMC. Bayesian Time Dependent Evaluation of Biomarkers as Surrogate Endpoint [Volume 4, Number 2]
:: MCMC. Modeling error distribution in accelerated failure time models using a Dirichlet processes mixture model with the Burr XII distribution as the kernel [Volume 19, Number 1]
:: MCMC. Bayesian Estimation for the Signal Parameters in a Gaussian Random Field [Volume 1, Number 2]
:: Majorization Stochastic Comparison of the Skewness of Parallel Systems in Pareto Model [Volume 12, Number 1]
:: Majorization. Stochastic Comparisons Between Sample Spacings of Order Statistics from Independent Exponential Random Variables [Volume 6, Number 2]
:: Markov Chain Monte Carlo Spatial Analysis of Structured Additive Regression and Modeling of Crime Data in Tehran City Using Integrated Nested Laplace Approximation [Volume 7, Number 1]
:: Markov Latent Class Model. Using Markov Latent Class Models in Estimating the Classification Error of Iranian Labor Flow Statistics [Volume 16, Number 1]
:: Markov chain monte carlo. Analysis of Censored Data Using Dirichlet Process Mixture Model with Generalized Inverse Weibull Distribution as Kernel [Volume 17, Number 2]
:: Martingale Theory. A Test for Independence in High-Dimensional Normal Data [Volume 14, Number 1]
:: Maximum Likelihood Estimate A New Inverse Entezar Weibull Distribution [Volume 8, Number 2]
:: Maximum Likelihood Estimation Comparison of Some Different Methods for Hypothesis Test of Means of Log-Normal Populations [Volume 9, Number 1]
:: Maximum Likelihood Estimation A New Generalized Exponential-Logarithmic Lifetime Distribution [Volume 6, Number 1]
:: Maximum Likelihood Estimator General Progressive Censoring [Volume 12, Number 1]
:: Maximum Likelihood Estimator. Maximum Likelihood Estimators for α-Stable Distribution [Volume 14, Number 1]
:: Maximum Liklihood Estimation. The Ristic-Balakrishnan-G Family of Distributions: Mathematical Properties and Applications [Volume 12, Number 1]
:: Maximum likelihood Statistical Inference in Fractional Brownian Motion [Volume 10, Number 2]
:: Mean Queue Size A Queue with Two-Stage Heterogeneous input and Service with Bernoulli Schedule Server Vacation [Volume 1, Number 1]
:: Mean Shift Method Outlier Detection in Ridge Regression Model Under Stochastic Linear Restrictions [Volume 13, Number 1]
:: Mean Shift Outliers Method Detecting Outliers in Liu Regression Model [Volume 8, Number 1]
:: Mean deviations A New Skew Uniform Distribution: Model and Properties [Volume 5, Number 1]
:: Mean-Square Differentiable Upper and Lower Bounds for Mean-square Stochastic Integrals [Volume 11, Number 2]
:: Mean-square Continuous. New Bounds for Fractional Mean-Square Stochastic Integrals [Volume 15, Number 2]
:: Metropolis-Hastings algorithm Prediction for Coherent System Lifetime Based on Type-II Censored Data from Half Logistic Distribution [Volume 18, Number 2]
:: Minimum Renyi Divergence. The Generalization of Maximum Entropy Principle for Generalized Information Measures [Volume 11, Number 1]
:: Missing Values. Modeling of Continuous-Count and Continuous-Ordinal Mixed Longitudinal Bivariate Inflated Responses with Possibility of Non Random Missingness [Volume 15, Number 2]
:: Missingness. Inverse-Probability Weighting and Multiple Imputation Methods for Analyzing Missing in the Response [Volume 12, Number 2]
:: Mixed Poisson Processes. Frailty Models for Recurrent Events with Short Term Dependence [Volume 1, Number 2]
:: Mixed Poisson Regression Model Modeling Count Data Under the Influence Overdispersion by Poisson Birnbaum-Saunders Regression Model [Volume 11, Number 2]
:: Modified Z-Score. Detecting Outliers in Normal Data Using Modified Z-Scores [Volume 3, Number 2]
:: Mont Carlo simulation Analyzing the Estimators of Upper Tail Dependence Measure [Volume 6, Number 2]
:: Monte Carlo Markov Chain. Hazard. Bayesian Estimation of Penalty Function in Homogeneity Test of Mixture Models [Volume 2, Number 2]
:: Monte Carlo Simulation Estimation of Probability Density and Cumulative Distribution Functions of Beta Weibull Geometric Distribution [Volume 11, Number 2]
:: Monte Carlo Simulation. Estimating E-Bayesian and Hierarchical Bayesian of Stress-strength Parameter in Rayleigh Distribution under LINEX Loss Function [Volume 13, Number 2]
:: Monte Carlo Simulation. Coefficients Estimation of Linear Regression Models Using Liu-Type Shrinkage Estimators [Volume 16, Number 2]
:: Monte Carlo Simulation. The Analysis of Weibull Lifetime Data Subject to Imperfect Repair [Volume 14, Number 2]
:: Monte Carlo Simulation. Modified Two-Stage Sampling Around the Mean of the First-Order Autoregressive Model [Volume 16, Number 1]
:: Monte Carlo Study The Birnbaum-Saunders Distribution via Skew Laplace Distribution [Volume 11, Number 2]
:: Monte Carlo simulation Lindley-Logarithmic Distribution: Model and Properties [Volume 10, Number 1]
:: Monte Carlo simulation Bayesian Estimation of Multi-Component Reliability Parameter Under Adaptive Hybrid Progressive Censoring [Volume 17, Number 2]
:: Monte Carlo simulation Perspectives of Hypothesis Testing of Ordered Means in Univariate and Multivariate Normal Distributions [Volume 10, Number 1]
:: Monte Carlo simulation. A Goodness of Fit Test for Location-Scale Family of Distributions Under Type-II Progressive Censoring [Volume 13, Number 1]
:: Multiple-Outlier Scale Model. Stochastic Comparisons of Parallel and Series Systems Comprising Multiple-Outlier Scale Components [Volume 15, Number 2]
:: Necessary conditions Introduce a Necessary Method for Rrecognize Non-Isomorphic Designs [Volume 4, Number 2]
:: Neural Network. Survival Data Analysis Using Different Statistical Learning Methods [Volume 18, Number 2]
:: Non-Euclidean Shape Space. Improving Performance of the Principal Geodesic Analysis in Statistical Shape Analysis [Volume 6, Number 2]
:: Non-Euclidean Space. Regression Modelling of Shape Through Triangulation [Volume 13, Number 1]
:: Non-Homogeneous Poisson Process Comparison of Optimal Replacement Times in Repairable Systems Based on Failure Rate Functions and Probability of Minimal Repair Times [Volume 9, Number 1]
:: Non-conjugated discrete structures Bayesian Dynamic Generalized Linear Models in Non-Conjugated Models [Volume 5, Number 2]
:: Non-nested Models. A Comparison study of a Information Criterion and Cox's Test in Non-Nested Models [Volume 4, Number 1]
:: Normal Mean Vector Minimax Generalized Bayes Estimator of Normal Mean Vector with Unknown Covariance Matrix [Volume 4, Number 2]
:: Normal-Uniform Distribution The Normal-Uniform Distribution [Volume 7, Number 2]
:: Nuisance Parameter Comparison between Significance and Bayesian Tests for Two-sided Hypotheses in Exponential Distribution with Nuisance Parameter [Volume 5, Number 2]
:: Official Statistics. Using Machine Learning Classification Algorithms in Official Statistics [Volume 15, Number 1]
:: Official Statistics. Record Linkage with Machine Learning Methods [Volume 16, Number 1]
:: Offine Transformations and Canonical Form. The Convolution of Multivariate Normal and Standard Exponential Distributions: Theory and Application [Volume 14, Number 2]
:: Optimal Designs. Response Surface Method in the Presence of Uncontrollable Factors [Volume 17, Number 1]
:: Optimal feature set. A New Approach in Using Random Support Vector Machine Cluster in Analyzing Prostate Cancer Gene Expression Data [Volume 17, Number 2]
:: Optimization Optimization of Preventive Maintenance of Multi-state System [Volume 12, Number 1]
:: Order statistics A Test for Symmetric Distributions Based on Renyi Entropy [Volume 4, Number 1]
:: Outlier data Robust Difference Based Estimator for Partial Linear Models [Volume 10, Number 1]
:: Ozone data. Bayesian Analysis of Extreme Values Using Splines in Generalized Mixed Model [Volume 3, Number 1]
:: Paired comparison D-Optimal Design for Paired Comparison Model in Quadratic Regression with Random Effects [Volume 10, Number 2]
:: Parametric Bootstraps. Testing Multiple Profiles for Outlier Detection [Volume 14, Number 1]
:: Pareto-Rayleigh Distribution Shrinkage Estimation. The Efficiency of Some Shrinkage Estimators for Shape Parameter of the Pareto-Rayleigh Distribution [Volume 15, Number 2]
:: Penalized Log-Likelihood. Clustering Based on Nonparanormal Graphical Mixture Models [Volume 16, Number 1]
:: Perfect debugging A Generalized Model for Software Reliability Evaluation Based on Non-Homogeneous Poisson Process [Volume 10, Number 1]
:: Permutation test A Permutation Test for Multiple Correlation Coefficient in High Dimensional Normal Data [Volume 17, Number 1]
:: Piecewise Hazard. Hierarchical Bayesian Analysis of Cure Model with Correlated Frailty [Volume 2, Number 1]
:: Piecewise regression. Piecewise Regression Model Based on Scale Mixture Normal Distribution [Volume 18, Number 2]
:: Pitman closeness Bayes Estimation of the Parameter of Pareto Distribution Under Squared Error and LINEX Loss Functions Based on Ranked Set Sampling [Volume 6, Number 2]
:: Posterior Regret Constrained Gamma-Minimax. Constrained Bayes Estimators under Balanced Loss Functions [Volume 2, Number 1]
:: Power Series Class of Distribution. A Class of Bivariate Generalized Gompertz-Power Series Distributions [Volume 11, Number 1]
:: Power Variance Function Distribution Weibull Frailty Model in Survival Analysis: An Application to Colorectal Cancer Patients [Volume 6, Number 1]
:: Predictive Distribution. Bayesian Model Averahing in Inverse Gaussian Regression Analysis [Volume 15, Number 1]
:: Probit Transformation. Bivariate Dependency Analysis using Jeffrey and Hellinger Divergence Measures based on Copula Density Estimation by Improved Probit Transformation [Volume 15, Number 1]
:: Process capability Improving Multiple Dependent State Sampling Plan Based on Capability Index S^T_pk [Volume 16, Number 2]
:: Progressive Hybrid Censored. Bayesian Estimation of Stress-Strength Parameter under Progressive Hybrid Censored Sample in Lomax Distribution [Volume 14, Number 2]
:: Progressive II Censoring. Estimation of Location and Shape Parameters for the Gompertz Distribution Using Generalized Order Statistics [Volume 12, Number 1]
:: Projection Theorem. Construction a Non-parametric Prediction Model for Spatial Random Field Using Projection Theorem [Volume 15, Number 2]
:: Projection of a Design. Post-Stage Search Property of the 12-run Plackett-Burman Design [Volume 2, Number 2]
:: Proportional Reversed Hazard Model Dynamic Quantile Inaccuracy Measure between Two Past Lifetimes [Volume 12, Number 2]
:: Purely Sequential Procedure Sequential Estimation of the Scale Parameter of an Exponential Distribution under Bounded Risk Constraint [Volume 11, Number 1]
:: Quasi Fisher Information D-optimal Design for Regression Beta with Random Effect [Volume 11, Number 1]
:: Quasi Maximum Likelihood Estimator The Choice of an Admissible Set of k Non-nested Models [Volume 4, Number 2]
:: Radially Symmetric. Inaccuracy Measure Based on Survival Copula [Volume 14, Number 2]
:: Random Effect . D-efficiency of D-optimal Designs for Poisson Model with Random Intercept [Volume 4, Number 1]
:: Random Projections. Comparison of Clustering High Dimensional Data by Random Projections Method and Some Common Methods of Dimensional Reduction [Volume 16, Number 1]
:: Random Removal. Statistical Inference of Two-Parameter Weibull Distribution under Progressive Type-II Censoring with Random Removals [Volume 16, Number 1]
:: Randomized Item Count. Randomized Item Count Model and Its Application with Randomized Simons Model [Volume 13, Number 2]
:: Record Ranked Set Sampling. Comparison of Empirical Bayesian Estimations and Predictions Based on Record Ranked Set Sampling Scheme with Inverse Sampling Scheme [Volume 15, Number 1]
:: Record values. Characterization Distributions Based on Kullback-Leibler Information of Order Statistics and Record Values [Volume 5, Number 1]
:: Recurrent Forecasting. Investigating the Improvement of Recurrent Forecasting of Singular Spectrum Analysis Method in Structural Time Series Models Using Data Filtration and Weighting Algorithm [Volume 16, Number 2]
:: Regression Model A Method to Estimate Income Measurement Error [Volume 9, Number 1]
:: Relative Ageing Order. Reliability Equivalence Factors of Series and Parallel Systems in Proportional Hazards Model [Volume 16, Number 2]
:: Relative Efficiency Estimation of Population Density Function in Line Transect Sampling Method with Detection Functions [Volume 12, Number 2]
:: Relative Error Improved Kullback-Leibler Upper Bound Baised on Convex Combination of k Rival Models [Volume 4, Number 2]
:: Relative efficiency A New Mean Estimator for Judgment Post Stratification by Ordering Observations in Strata [Volume 10, Number 1]
:: Reliability Some Results on General Inactivity Time of (n-k+1)-Out-of-n Systems with Dependent Components [Volume 11, Number 1]
:: Reliability Equivalence Factor. On Equivalence of Reliability in Reduction and Redundancy Methods [Volume 15, Number 1]
:: Reliability. Optimization of Reliability and Cost in Series-Parallel-Repairable Systems with Bathtub-Shaped Failure Rate [Volume 14, Number 2]
:: Return period. The Most Entropic Copula Based on Shannon Entropy and Blest's Measure and It's Application in Hydrology [Volume 18, Number 1]
:: Ridge Estimator. Modeling of Chronological Age Using Least Trimmed Squares Ridge Regression [Volume 14, Number 2]
:: Risk Ratio Stractural Priors for Bayesian Analysis of Complete and Incomplete Contingency Tables [Volume 8, Number 2]
:: Ruin probability. Optimal Ruin Probabilities in the Excess Loss Reinsurance Model [Volume 17, Number 1]
:: Scale fuzzy random variable. Fuzzy Order Statistics Based on α-Value and Some of Its Applications in Reliability [Volume 18, Number 1]
:: Schur-convixity. Stochastic Comparisons of Series and Parallel Systems Comprising Modified Additive Hazard Rate Model [Volume 18, Number 2]
:: Schwartz Cirteria Evaluation of Surrogate Endpoints by Bayesian Method [Volume 2, Number 1]
:: Score function. Flexible Generators for Generalized FGM Copulas [Volume 5, Number 1]
:: Seismic data Simulation of Closed Skew Normal and Closed Skew-T Distributions for Bayesian Seismic Inversion Model [Volume 10, Number 1]
:: Selected population Estimation After Selection in the Proportional Hazard and Proportional Reversed Hazard Rate Models [Volume 10, Number 2]
:: Semiparametric Linear Models Influence Diagnostics in Semiparametric Linear Mixed Measurement Error Models [Volume 11, Number 2]
:: Sensitivity Level Quantitative Three-Stage Optional Randomized Response Model [Volume 8, Number 2]
:: Shannon Entropy Goodness-of-fit Test Based on Shannon Entropy of k-Record Values from the Generalized [Volume 9, Number 1]
:: Simulation. A Realization of Using the Claims with Pareto Distribution in Risk Models of Insurance Company [Volume 12, Number 2]
:: Size Biased Inflated Beta Distribution. Size Biased Inflated Beta Distribution [Volume 11, Number 2]
:: Skew Laplace distribution. The Two-parameter Weighted Skew Laplace Distribution [Volume 12, Number 2]
:: Skew Normal Distribution. Bayesian Estimation of the Parameters of Skew Normal Distribution [Volume 6, Number 1]
:: Smoother test The Uniformly More Powerful Tests than the Likelihood Ratio Test Using Intersection-Union Hypotheses for Variance of Independent Samples from Normal Distribution [Volume 19, Number 1]
:: Smoothing Parameter Estimstion of Density Function in the Presence of Outliers [Volume 3, Number 2]
:: Spatial Weight Matrix Spatial Autoregressive Models and Data Analysis of Residential Transactions in Tehran [Volume 5, Number 2]
:: Spatial data. Variational Bayesian Analysis of Skew Spatial Regression Model Based on a flexible Subclass of Closed Skew-Normal Distribution [Volume 18, Number 2]
:: Spatial heterogeneity. Analysis of Housing Prices in Mashhad City With a Two-Stage Heterogeneous Spatial Modeling Framework [Volume 19, Number 1]
:: Spatial-temporal Statistics. Bayesian Approach for Modelling Spatial–Temporal Crime Data [Volume 16, Number 2]
:: Specificity. Kernel Smoothing for ROC Curve and Estimation of its Area for Thyroid Stimulating Hormone [Volume 2, Number 2]
:: Spectral density Application of Periodically Correlated Spatial Processes and Spatial Periodogram in Image Processing [Volume 17, Number 2]
:: Spline Bivariate Maximum Entropy Density Function Under Some Measure of Entropies [Volume 9, Number 1]
:: Squared Errors. Employing Weighted Operators in Ordered Least Deviations Regression Model [Volume 15, Number 1]
:: Squared error loss function. Improved Estimator of Coefficent of Determination in Multivariate Normal Distribution [Volume 4, Number 2]
:: Standardized precipitation index Spatio-Temporal Analysis Based on One-Sided Dynamic Principal Components [Volume 17, Number 2]
:: Stationarity. Introducing a Stationary Skew-Gaussian Random Field [Volume 15, Number 2]
:: Stationarity. Flexible Closed Skew Normal Random Field to Analysis Skew Spatial Data [Volume 17, Number 2]
:: Stationary Skew Gaussian Random Field. Bayesian Analysis of Latent Variables in Spatial GLM Models with Stationary Skew Gaussian Random Field [Volume 18, Number 1]
:: Statistical inference Estimating Value-at-Risk and Average Value-at-Risk Measures Using Composite quantile Regression [Volume 10, Number 2]
:: Stein Lemma Shrinkage Estimation in the Multivariate Normal Distribution under Restricted Space [Volume 8, Number 1]
:: Stein-type Shrinkage Estimator Studying Limiting Behavior of Shrinkage Estimators in Penalized Regression Model with Rectangular Norm [Volume 11, Number 1]
:: Stochastic Partial Differential Equations. Approximate Bayesian Analysis of Spatio-Temporal Data Using a Gaussian Markov Random Field [Volume 10, Number 2]
:: Stochastic restricted Estimation of Linear Mixed Measurement Error Models in the Presence of Multicollinearity [Volume 17, Number 2]
:: Stratified Sampling A New Randomized Response Technique and its Comparison with Simmons Method [Volume 9, Number 2]
:: Stratified Sampling. The Population Mean Estimators by using Judgment Post Stratification in Stratified Sampling [Volume 14, Number 2]
:: Strong Consistency Estimation of Past Entropy in Length-Biased Data [Volume 15, Number 2]
:: Structural Breaks. Detection of Shocks in Structural Time Series Model Using State Space Forms [Volume 12, Number 1]
:: Sufficient Statistic Fisher Information in Bivariate Concomitants of Record Values and Order Statistics in Pseudo Exponential Model [Volume 6, Number 2]
:: Support vector machine algorithm Early Detection of Down Syndrome Using Machine Learning Algorithms [Volume 18, Number 2]
:: Support vector machine. Autoregressive Modeling of Fuzzy Data Based on the Support Vector Machine [Volume 19, Number 1]
:: Survival Semiparametric Model Estimation of Semiparametric Survival Models with Time Varying Effects for Recurrent Event Data by Using Kernel Method [Volume 7, Number 1]
:: Survival function The New Poisson Exponential Power Distribution for Lifetime Modeling [Volume 5, Number 2]
:: Survival function. On Some Reliability Concepts in Fuzzy Environment [Volume 17, Number 1]
:: System signature. Tsallis Entropy of the Lifetime of Coherent Systems and Its Properties [Volume 18, Number 1]
:: T-Tranform Matrix. Stochastic Comparison of Aggregate Claim Amounts Among Two Heterogeneous Portfolios [Volume 12, Number 2]
:: Temporary Change. Effect of Different Types of Outliers on GARCH Models [Volume 3, Number 1]
:: Test Power Entropy Estimation Using Bootstrap and Jackknife Methods and its Application in Testing Normality [Volume 13, Number 2]
:: Test for Symmetry of Distribution. Test for Symmetry of Distribution Based on the Entropy [Volume 1, Number 2]
:: Test of Symmetry Power Comparisons of Goodness-of-Fit Tests Based on Entropy with Other Methods [Volume 2, Number 1]
:: The average of the number of smoking cigarette Estimating the Means of Two Sensitive Variables with a New Quantitative Randomized Response Method [Volume 18, Number 1]
:: Time Series Parameter Estimation of AR(1) Model with Change Point and Its Application in Annual Inflation Rate Modeling [Volume 19, Number 1]
:: Tolerance interval An Approximate Tolerance Interval for the Size-Biased Poisson-Lindley Random Variable [Volume 10, Number 2]
:: Total Time on Test Plot. On The Applications Of Total Time on Test Transform In Reliability [Volume 15, Number 1]
:: Transition Probability. Estimation of Transition Probability for Behaviors of Financial Time Series by Markov Switching Autoregressive Model [Volume 5, Number 1]
:: Two-Parameter Exponential Distribution. Smallest Confidence Region for the Parameters of Two-Parameter Exponential Distribution [Volume 14, Number 1]
:: Two-Parameter Uniform Distribution. Smallest Confidence Region for the Mean and Standard Deviation of Two-Parameter Uniform Distribution [Volume 15, Number 1]
:: Type II Censoring. Estimation of the Parameters of a Exponentiated Burr Type III Distribution under Type II Censoring [Volume 8, Number 1]
:: Type II Right Censored Data. Estimating the Difference of Kullback-Leibler Risks under Type II Right Censored Data for Non-Nested Models [Volume 3, Number 1]
:: Type-II Censored Data Computing Accuracy Level of Tolerance Limits for Lifetime of k-out-of-n Systems [Volume 11, Number 2]
:: Type-II Censoring. Inverse Weibull-Poisson Distribution and Estimation of its Parameters in Type-II Censored Data [Volume 16, Number 1]
:: Type-II Progressively Hybrid Censoring Inference for the Half-Logistic Distribution under Progressively Type II Hybrid Censored Samples [Volume 9, Number 1]
:: Uncertainty. Fuzzy Lee-Carter Model in Mortality Data Analysis [Volume 18, Number 2]
:: Uncorrelation. Another Family of Bivariate Distributions with Equivalent Independence and Uncorrelation [Volume 3, Number 2]
:: Usual Stochastic Order. On Properties of Random-Weighted-k-out-of-n Systems [Volume 12, Number 2]
:: Usual Stochastic Order. Worst Allocations of Policy Layers for Independent and Identically Distributed Exponential Risks [Volume 14, Number 1]
:: Vanadium pollution. Properties of Skew t-Normal Distribution and Modeling of Pollution Data of Shadegan Wetland [Volume 3, Number 1]
:: Variable Selection. Variable Selection and Structure Identification in High Dimension for Partial Linear Additive Models [Volume 12, Number 2]
:: Variance Copmonents. Fitting Dynamic Regression Models for Panel Data Using Maximum Likelihood and Bayesian Methods [Volume 3, Number 1]
:: Variance- Covariance The application of extreme value theory in value at risk estimation:The case of liability insurance claims in Iran insurance company [Volume 4, Number 1]
:: Varying Coefficient Regression Marginal Longitudinal Varying Coefficient Regression Via Penalized Spline [Volume 12, Number 1]
:: Vine Copula Evaluating Systemic Risk with Conditional Value at Risk and Vine Copulas in the Iranian Banking Network [Volume 19, Number 1]
:: Wavelet Thresholding Estimator. The Bayesian Wavelet Thresholding Estimators of Nonparametric Regression Model Based on Mixture Prior Distribution [Volume 14, Number 2]
:: Wavelets. Wavelet-Based Quantile Density Estimation By Block Thresholding Method Under L2 Loss Function [Volume 14, Number 1]
:: Weak Majorization Stochastic Comparisons of Series and Parallel Systems in the Scale Model [Volume 9, Number 2]
:: Weakly negative dependent random variables Levy type inequality and another view of the strong law of large numbers for dependent random variables [Volume 10, Number 1]
:: Weibull Distribution. Optimization Problem in Series Systems with Random Number of Components from the Family of Power Series Distributions [Volume 15, Number 2]
:: Weighted Extreme Value Distribution The Weighted Extreme Value Distributions and Its Properties [Volume 12, Number 1]
:: Weighted error square loss function. Estimation of Traffic Intensity Parameter and Stationarity Probability of M/M/c Queuing System Under a Stop Time in the System [Volume 17, Number 1]
:: Weighted mean residual lifetime Dynamic Version of Weighted Cumulative Residual Extropy and Its Applications [Volume 18, Number 2]
:: Wind Power Density Error. The Suitable Statistical Model Selection for the Wind Speed of Tabriz and Orumiyeh Stations [Volume 15, Number 1]
:: Window Subsampling. Composite likelihood Inference in Parameter Driven Models [Volume 1, Number 1]
:: Zagros Earthquakes. Modeling Locations of Zagros Earthquakes by Spatial Cox Model [Volume 1, Number 2]
:: evaluation criteria Introducing a New Method for the Split Criteria of Decision Trees [Volume 16, Number 2]
:: k-out-of-n Systems. Likelihood Ratio Ordering of k-out-of-n Systems Comprising Multiple-outlier Scale Components [Volume 14, Number 2]
:: maximum likelihood estimates. The New Generalization of Weibull Distribution [Volume 10, Number 1]
:: noise factor A Criterion for Assessment of Search Designs in Robust Parameter Experiments [Volume 17, Number 1]
:: penalized methods. Identification of Influential Observations for High-Dimensional Regression [Volume 17, Number 2]
:: ranked set sampling Nonparametric confidence intervals for population quantiles with accurate confidence coefficient based on ranked set sampling [Volume 5, Number 1]
:: α-Stable Distribution. Robust Empirical Bayes Small Area Estimation with Symmetric α-Stable Distribution for Error Components [Volume 15, Number 2]
:: ‎Censored Data Bayesian Shrinkage Estimator for the Scale Parameter of Exponential Distribution Based on Censored Data [Volume 11, Number 1]
:: ‎Central limit theorem Asymptotic Distribution of ُSome Statistics in Multivariate Inference Based on Taylor Series Expansion [Volume 17, Number 1]
:: ‎Classification Semiparametric Multinomial Logistic Regression Model to Classify‎ ‎Shape Data [Volume 16, Number 2]
:: ‎Coherent System‎. Comparison of Coherent Systems with Dependent Components Based on ‌‎the ‎Reversed Mean Residual Life Order [Volume 16, Number 2]
:: ‎Durbin-Watson Statistic‎. On Approximating the Distribution of Indefinite Quadratic Forms by Moments Approach [Volume 13, Number 1]
:: ‎EM‎‎ algorithm Robust Model-Based Clustering Using the Symmetric alpha-Stable Distribution for Measurement Error [Volume 18, Number 1]
:: ‎Elliptical symmetry Multi-class Depth-based Classification for Multivariate Data [Volume 17, Number 2]
:: ‎Expectation Multi-class support vector machine with random inputs using non-deterministic programming problem [Volume 19, Number 1]
:: ‎GFGM Copula. Estimation of Reliability Parameter Using Copula Function for Components with Generalized Exponential Distribution [Volume 13, Number 2]
:: ‎Likelihood Function. General Proportional Reversed Hazard Rate Frailty Model and It's Applications in the Analysis of Lung Cancer Data [Volume 13, Number 2]
:: ‎Log-Linear model Improving Fellegi-Sunter ‎model in record linkage using log-linear model and weight ‎adjustment ‎ [Volume 17, Number 1]
:: ‎Majorization. New Results on Stochastic Comparisons of Smallest Claim Amounts in Two Heterogeneous Portfolios with Weibull Claims [Volume 13, Number 1]
:: ‎Multivariate Gamma Function. Simultaneous Test for Independence Among Subvectors of Several Moderately High Dimensional Multivariate Normal Distributions [Volume 13, Number 1]
:: ‎Nonlinear State Space Model. State Space Representation of Mixture Autoregressive Model [Volume 13, Number 1]
:: ‎Probability Proportional to Size. An Efficient Poisson Sampling Design in Proportional to Size Situation [Volume 13, Number 2]
:: ‎Proportion of Sensitive Attribute. A New Combined Randomized Response Model [Volume 13, Number 1]
:: ‎Random Effects‎. Inflated Bivariate Random Effect Models for Mixed Power Series Normal Responses [Volume 13, Number 2]
:: ‎Selection Probability‎. Semiparametric Analysis of Regression Models for Zero-Inflated Power Series Responses with Missing Covariate [Volume 14, Number 1]
:: ‎Semiparametric Regression Model. Feasible Generalized Rdge Robust Estimator in Semiparametric Regression Models [Volume 13, Number 2]
:: ‎Shrinkage Methods. Performance Study of Shrinkage Estimator Under a Linear Constrain in Penalized Regression [Volume 13, Number 1]
:: ‎Sliced Inverse Regression. Modification of Sliced Inverse Regression to Censored Survival Data [Volume 13, Number 2]
:: ‎Spatial Interpolation. Analysis of Spatial Data with Chi-Square Copula [Volume 13, Number 2]
:: ‎Support vector regression. Analysis of High Dimensional Data Using Development Support Vector Regression, Functional Regression, Ridge and Lasso Regression [Volume 17, Number 1]
:: ‎Tolerance limits Nonparametric Inference for Component Lifetime Distribution of Coherent Systems Based on Progressively Censored [Volume 18, Number 1]
:: ‎Weibull Distribution. Optimal Sample Size Based on Cost Function in Progressively Type II Censoring [Volume 14, Number 1]
:: ‎Weighted Majorization. Stochastic Comparisons of Series and Parallel‎ ‎Systems with Independent and Heterogeneous Components under the Generalized Linear Failure Rate [Volume 13, Number 2]
:: ‎Yule-Walker‎. An INAR(1) Model Based on Negative Binomial Thinning Operator with Serially Dependent Noise. [Volume 14, Number 1]
:: ‎k-out-of-n System. Some Poperties of Repairable k-out-of-n Systems [Volume 13, Number 2]
:: ‎m-dependence Random Variable. Independence Test of Time Series Based on Power-Divergence [Volume 13, Number 1]
مجله علوم آماری – نشریه علمی پژوهشی انجمن آمار ایران Journal of Statistical Sciences

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