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Diwakar, Rekha – Practical Assessment, Research & Evaluation, 2017
Many existing methods of statistical inference and analysis rely heavily on the assumption that the data are normally distributed. However, the normality assumption is not fulfilled when dealing with data which does not contain negative values or are otherwise skewed--a common occurrence in diverse disciplines such as finance, economics, political…
Descriptors: Statistical Inference, Statistical Distributions, Research, Foreign Countries
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Kamakura, Wagner A. – Psychometrika, 1991
Two ideal-point probabilistic choice models from the external analysis of preferences are presented that allow for more flexible distributions of ideal-points. The first extends the probit model of W. Kamakura and R. Srivastava. The second is based on simplifying assumptions that lead to a multidimensional histogram of ideal-points. (SLD)
Descriptors: Equations (Mathematics), Estimation (Mathematics), Graphs, Mathematical Models
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Hopkins, Kenneth D.; Weeks, Douglas L. – Educational and Psychological Measurement, 1990
This paper makes the point that descriptive and inferential measures of nonnormality and graphic displays of the frequency distribution of important variables should be routine in research reporting. This point is particularly true for research involving measures with nonarbitrary metrics where the distribution shape is unaffected by measurement…
Descriptors: Equations (Mathematics), Graphs, Mathematical Models, Research Reports
Garner, Mary; Engelhard, George, Jr. – 1997
This paper considers the following questions: (1) what is the relationship between the method of paired comparisons and Rasch measurement theory? (2) what is the relationship between the method of paired comparisons and graph theory? and (3) what can graph theory contribute to the understanding of Rasch measurement theory? It is specifically shown…
Descriptors: Comparative Analysis, Estimation (Mathematics), Graphs, Item Response Theory
Hecht, Jeffrey B. – 1992
Previous research has demonstrated particular inadequacies in conventional methods used to identify outlier cases in bivariate regression models. Only through a combination of methods can one detect all of the deviant points potentially overinfluencing a regression model's parameters. This paper investigates whether a range of data points might…
Descriptors: Estimation (Mathematics), Graphs, Least Squares Statistics, Mathematical Models
Yamamoto, Kentaro; Muraki, Eiji – 1991
The extent to which properties of the ability scale and the form of the latent trait distribution influence the estimated item parameters of item response theory (IRT) was investigated using real and simulated data. Simulated data included 5,000 ability values randomly drawn from the standard normal distribution. Real data included the results for…
Descriptors: Ability, Estimation (Mathematics), Graphs, Item Response Theory
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Kolen, Michael J. – Journal of Educational Measurement, 1991
Estimation/smoothing methods that are flexible enough to fit a wide variety of test score distributions are reviewed: kernel method, strong true-score model-based method, and method that uses polynomial log-linear models. Applications of these methods include describing/comparing test score distributions, estimating norms, and estimating…
Descriptors: Comparative Analysis, Equated Scores, Equations (Mathematics), Estimation (Mathematics)
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Wainer, Howard – Journal of Educational Measurement, 1996
A trilinear chart for understanding the distribution of achievement levels of students' performance in the National Assessment of Educational Progress (NAEP) is described and its use illustrated with data from the 1992 state NAEP mathematics assessment. Trends for all 44 participating jurisdictions are simultaneously displayed. (SLD)
Descriptors: Academic Achievement, Educational Trends, Evaluation Utilization, Graphs
Wang, Yuh-Yin Wu; Schafer, William D. – 1993
This Monte-Carlo study compared modified Newton (NW), expectation-maximization algorithm (EM), and minimum Cramer-von Mises distance (MD), used to estimate parameters of univariate mixtures of two components. Data sets were fixed at size 160 and manipulated by mean separation, variance ratio, component proportion, and non-normality. Results…
Descriptors: Comparative Analysis, Computer Simulation, Equations (Mathematics), Estimation (Mathematics)
Allen, Nancy L.; And Others – 1992
Many testing programs include a section of optional questions in addition to mandatory parts of a test. These optional parts of a test are not often truly parallel to one another, and groups of examinees selecting each optional test section are not equivalent to one another. This paper provides a general method based on missing-data methods for…
Descriptors: Comparative Testing, Estimation (Mathematics), Graphs, Scaling
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Dodd, Barbara G.; And Others – Educational and Psychological Measurement, 1993
Effects of the following variables on performance of computerized adaptive testing (CAT) procedures for the partial credit model (PCM) were studied: (1) stopping rule for terminating CAT; (2) item pool size; and (3) distribution of item difficulties. Implications of findings for CAT systems based on the PCM are discussed. (SLD)
Descriptors: Adaptive Testing, Computer Assisted Testing, Computer Simulation, Difficulty Level