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Skaggs, Gary; Wilkins, Jesse L. M.; Hein, Serge F. – International Journal of Testing, 2016
The purpose of this study was to explore the degree of grain size of the attributes and the sample sizes that can support accurate parameter recovery with the General Diagnostic Model (GDM) for a large-scale international assessment. In this resampling study, bootstrap samples were obtained from the 2003 Grade 8 TIMSS in Mathematics at varying…
Descriptors: Achievement Tests, Foreign Countries, Elementary Secondary Education, Science Achievement
Luh, Wei-Ming; Olejnik, Stephen – 1990
Two-stage sampling procedures for comparing two population means when variances are heterogeneous have been developed by D. G. Chapman (1950) and B. K. Ghosh (1975). Both procedures assume sampling from populations that are normally distributed. The present study reports on the effect that sampling from non-normal distributions has on Type I error…
Descriptors: Comparative Analysis, Mathematical Models, Power (Statistics), Sample Size

Alsawalmeh, Yousef M.; Feldt, Leonard S. – Applied Psychological Measurement, 1992
An approximate statistical test is derived for the hypothesis that the intraclass reliability coefficients associated with two measurement procedures are equal. Control of Type 1 error is investigated by comparing empirical sampling distributions of the test statistic with its derived theoretical distribution. A numerical illustration is…
Descriptors: Equations (Mathematics), Hypothesis Testing, Mathematical Models, Measurement Techniques
The Maximal Value of a Zipf Size Variable: Sampling Properties and Relationship to Other Parameters.

Tague, Jean; Nicholls, Paul – Information Processing and Management, 1987
Examines relationships among the parameters of the Zipf size-frequency distribution as well as its sampling properties. Highlights include its importance in bibliometrics, tables for the sampling distribution of the maximal value of a finite Zipf distribution, and an approximation formula for confidence intervals. (Author/LRW)
Descriptors: Bibliometrics, Least Squares Statistics, Mathematical Models, Research Methodology

Fowler, Robert L. – Applied Psychological Measurement, 1992
A Monte Carlo simulation explored how to optimize power in the extreme groups strategy when sampling from nonnormal distributions. Results show that the optimum percent for the extreme group selection was approximately the same for all population shapes, except the extremely platykurtic (uniform) distribution. (SLD)
Descriptors: Construct Validity, Equations (Mathematics), Mathematical Models, Monte Carlo Methods

Fuhr, Norbert; Huther, Hubert – Information Processing and Management, 1989
Discusses the interdependencies between parameter estimation and properties of probabilistic models, such as dependency assumptions, binary vs. nonbinary features, and estimation sample selection. An optimum estimation for binary features applicable to information retrieval is defined, a method for computing this estimation using empirical data is…
Descriptors: Estimation (Mathematics), Information Retrieval, Mathematical Models, Predictor Variables

Lambert, Zarrel V.; And Others – Multivariate Behavioral Research, 1991
A method is presented that eliminates some interpretational limitations arising from assumptions implicit in the use of arbitrary rules of thumb to interpret exploratory factor analytic results. The bootstrap method is presented as a way of approximating sampling distributions of estimated factor loadings. Simulated datasets illustrate the…
Descriptors: Behavioral Science Research, Computer Simulation, Estimation (Mathematics), Factor Structure

Broodbooks, Wendy J.; Elmore, Patricia B. – Educational and Psychological Measurement, 1987
The effects of sample size, number of variables, and population value of the congruence coefficient on the sampling distribution of the congruence coefficient were examined. Sample data were generated on the basis of the common factor model, and principal axes factor analyses were performed. (Author/LMO)
Descriptors: Factor Analysis, Mathematical Models, Monte Carlo Methods, Predictor Variables
Becker, Betsy Jane – 1986
This paper discusses distribution theory and power computations for four common "tests of combined significance." These tests are calculated using one-sided sample probabilities or p values from independent studies (or hypothesis tests), and provide an overall significance level for the series of results. Noncentral asymptotic sampling…
Descriptors: Achievement Tests, Correlation, Effect Size, Hypothesis Testing