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Zoppe, Alice; Buu, Yuh-Pey Anne; Flury, Bernard – Journal of Educational and Behavioral Statistics, 2001
Presents an application of the EM-algorithm to two problems of estimation and testing in a multivariate normal distribution with missing data. The two models are tested applying the log-likelihood ratio test. Solves the problem of different and nonmonotone patterns of missing data by introducing suitable transformations and partitions of the data…
Descriptors: Estimation (Mathematics), Multivariate Analysis, Statistical Distributions
George, Carrie A. – 2001
Multivariate techniques have been implemented with greater and greater frequency. In order to use multivariate techniques researchers must understand the fundamental assumptions. The purpose of this paper is to evaluate one of the assumptions of multivariate analysis, normality. Overall, normal distributions are unimodal and symmetrical, and they…
Descriptors: Estimation (Mathematics), Evaluation Methods, Multivariate Analysis, Statistical Distributions
Brandwein, Ann Cohen; Strawderman, William E. – 1989
This paper presents an expository development of James-Stein estimation with substantial emphasis on exact results for nonnormal location models. The themes of the paper are: (1) the improvement possible over the best invariant estimator via shrinkage estimation is not surprising but expected from a variety of perspectives; (2) the amount of…
Descriptors: Equations (Mathematics), Estimation (Mathematics), Maximum Likelihood Statistics, Statistical Distributions
Matthews-Lopez, Joy L.; Hombo, Catherine M. – 2001
The purpose of this study was to examine the recovery of item parameters in simulated Automatic Item Generation (AIG) conditions, using Markov chain Monte Carlo (MCMC) estimation methods to attempt to recover the generating distributions. To do this, variability in item and ability parameters was manipulated. Realistic AIG conditions were…
Descriptors: Estimation (Mathematics), Monte Carlo Methods, Statistical Distributions, Test Construction

Yuan, Ke-Hai; Bentler, Peter M. – Psychometrika, 2002
Examined the asymptotic distributions of three reliability coefficient estimates: (1) sample coefficient alpha; (2) reliability estimate of a composite score following factor analysis; and (3) maximal reliability of a linear combination of item scores after factor analysis. Findings show that normal theory based asymptotic distributions for these…
Descriptors: Estimation (Mathematics), Factor Analysis, Reliability, Robustness (Statistics)

Gross, Alan L.; Torres-Quevedo, Rocio – Psychometrika, 1995
The posterior distribution of the bivariate correlation is analytically derived given a data set where "X" is completely observed, but "Y" is missing at random for a portion of the sample. Interval estimates of the correlation are constructed from the posterior distribution in terms of the highest density regions. (SLD)
Descriptors: Bayesian Statistics, Correlation, Equations (Mathematics), Estimation (Mathematics)

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

Zeng, Lingjia – Applied Psychological Measurement, 1997
Proposes a marginal Bayesian estimation procedure to improve item parameter estimates for the three parameter logistic model. Computer simulation suggests that implementing the marginal Bayesian estimation algorithm with four-parameter beta prior distributions and then updating the priors with empirical means of updated intermediate estimates can…
Descriptors: Algorithms, Bayesian Statistics, Estimation (Mathematics), Statistical Distributions
Lewis, Charla P. – 1999
The sampling distribution is a common source of misuse and misunderstanding in the study of statistics. The sampling distribution, underlying distribution, and the Central Limit Theorem are all interconnected in defining and explaining the proper use of the sampling distribution of various statistics. The sampling distribution of a statistic is…
Descriptors: Estimation (Mathematics), Probability, Sample Size, Sampling
Ahsanullah, M. – 1989
The record values of the Pareto distribution, labelled Pareto (II) (alpha, beta, nu), are reviewed. The best linear unbiased estimates of the parameters in terms of the record values are provided. The prediction of the sth record value based on the first m (s>m) record values are obtained. A classical Pareto distribution provides reasonably…
Descriptors: Equations (Mathematics), Estimation (Mathematics), Income, Probability

Alexander, Ralph A.; And Others – Educational and Psychological Measurement, 1987
This article presents an improved approximation formula for the problem of correcting correlation coefficients that arise from range-restricted distributions on either or both the independent and dependent variable. (BS)
Descriptors: Correlation, Estimation (Mathematics), Mathematical Formulas, Sampling

Krus, David J.; Liang, Kun-Hsia T. – Educational and Psychological Measurement, 1984
An algorithm for estimation of means and standard deviations or raw scores underlying table values of standard test scores is presented. An application of a computer program, operationalizing the suggested algorithm, is discussed within the framework of a comparison of estimated and known table values for sample Minnesota Multiphasic Personality…
Descriptors: Algorithms, Estimation (Mathematics), Scores, Standardized Tests

de Gruijter, Dato N. M. – Journal of Educational Measurement, 1997
K. May and W. A. Nicewander recently concluded (1994) that percentile ranks are inferior or raw scores as indicators of latent ability. It is argued that their conclusions are incorrect, and an error in their derivation is identified. The incorrect equation results in an incorrect conclusion, as work by F. M. Lord (1980) also indicates.…
Descriptors: Equations (Mathematics), Estimation (Mathematics), Raw Scores, Statistical Distributions
Oshima, T. C.; Davey, T. C. – 1994
This paper evaluated multidimensional linking procedures with which multidimensional test data from two separate calibrations were put on a common scale. Data were simulated with known ability distributions varying on two factors which made linking necessary: mean vector differences and variance-covariance (v-c) matrix differences. After the…
Descriptors: Ability, Estimation (Mathematics), Evaluation Methods, Matrices

Fowler, Robert L. – Educational and Psychological Measurement, 1984
This study compared two approximations for normalizing noncentral F distributions: one based on the square root of the chi-square distribution (SRA), the other derived from a cube root of the chi-square distribution (CRA). The CRA was superior, and generally provided an excellent approximation for noncentral F. (Author/BW)
Descriptors: Estimation (Mathematics), Hypothesis Testing, Mathematical Formulas, Probability