Content
September 2015, Volume 24, Issue 3
- 507-521 On the Gini coefficient normalization when attributes with negative values are considered
by Emanuela Raffinetti & Elena Siletti & Achille Vernizzi
July 2015, Volume 24, Issue 2
- 177-202 Multivariate functional outlier detection
by Mia Hubert & Peter Rousseeuw & Pieter Segaert - 203-207 Discussion of “Multivariate functional outlier detection” by Mia Hubert, Peter Rousseeuw and Pieter Segaert
by Karl Mosler - 209-215 Discussion of “multivariate functional outlier detection”
by Naveen Narisetty & Xuming He - 217-221 Discussion of “multivariate functional outlier detection” by M. Hubert, P. Rousseeuw and P. Segaert
by Francesca Ieva & Anna Paganoni - 223-231 Discussion of “Multivariate Functional Outlier Detection”, by Mia Hubert, Peter Rousseeuw and Pieter Segaert
by Davy Paindaveine & Germain Van Bever - 233-235 Comments on: Multivariate functional outlier detection
by L. García-Escudero & A. Gordaliza & A. Mayo-Iscar - 237-243 M. Hubert, P. Rousseeuw and P. Segaert: Multivariate functional outlier detection
by Alicia Nieto-Reyes & Juan Cuesta-Albertos - 245-251 Discussion of “Multivariate functional outlier detection” by Mia Hubert, Peter Rousseeuw and Pieter Segaert
by Yuan Yan & Marc Genton - 253-256 Discussion of Multivariate functional outlier detection by M. Hubert, P. Rousseeuw and P. Segaert
by Sara López-Pintado - 257-261 Hubert, Rousseeuw and Segaert: multivariate functional outlier detection
by Aldo Corbellini & Marco Riani & Anthony Atkinson - 263-267 Discussion of “Multivariate functional outlier detection”
by Ana Arribas-Gil & Juan Romo - 269-277 Rejoinder to ‘multivariate functional outlier detection’
by Mia Hubert & Peter Rousseeuw & Pieter Segaert - 279-300 Analysis of spatio-temporal mobile phone data: a case study in the metropolitan area of Milan
by Piercesare Secchi & Simone Vantini & Valeria Vitelli - 301-304 Discussion of Secchi, Vantini and Vitelli paper
by James Ramsay - 305-306 P. Secchi, S. Vantini and V. Vitelli: Analysis of spatio-temporal mobile phone data: a case study in the metropolitan area of Milan
by Piotr Kokoszka - 307-312 Discussion of “Analysis of spatio-temporal mobile phone data: a case study in the metropolitan area of Milan”
by Anestis Antoniadis & Jean-Michel Poggi - 313-314 Piercesare Secchi, Simone Vantini and Valeria Vitelli: Analysis of spatio-temporal mobile phone data: a case study in the metropolitan area of Milan
by Aurea Grané & Rosario Romera - 315-319 Discussion of the paper “analysis of spatio-temporal mobile phone data: a case study in the metropolitan area of Milan”
by Orietta Nicolis & Jorge Mateu - 321-324 Discussion of “analysis of spatio-temporal mobile phone data: a case study in the metropolitan area of Milan” by P. Secchi, S. Vantini, and V. Vitelli
by Helle Sørensen & Bo Markussen & Anders Tolver - 325-327 Discussion on the paper “Analysis of spatio-temporal mobile phone data: a case study in the metropolitan area of Milan” by P. Secchi, S. Vantini and V. Vitelli
by Wenceslao González-Manteiga & Rosa Crujeiras - 329-333 Discussion of “Analysis of spatio-temporal mobile phone data: a case study in the metropolitan area of Milan” by Piercesare Secchi, Simone Vantini and Valeria Vitelli
by Pedro Delicado - 335-338 Rejoinder to the discussion of “Analysis of Spatio-Temporal Mobile Phone Data: a Case Study in the Metropolitan Area of Milan”
by Piercesare Secchi & Simone Vantini & Valeria Vitelli - 339-358 Childcare and participation at work in North-East Italy: Why do Italian and foreign mothers behave differently?
by Anna Giraldo & Gianpiero Dalla-Zuanna & Enrico Rettore
March 2015, Volume 24, Issue 1
- 1-24 Saddlepoint expansions for GEL estimators
by Gubhinder Kundhi & Paul Rilstone - 25-40 Inference on the parameters of two Weibull distributions based on record values
by H. Zakerzadeh & A. Jafari - 41-60 A group VISA algorithm for variable selection
by Abdallah Mkhadri & Mohamed Ouhourane - 61-83 On a new absolutely continuous bivariate generalized exponential distribution
by S. Mirhosseini & M. Amini & D. Kundu & A. Dolati - 85-95 A first step to implement Gillespie’s algorithm with rejection sampling
by Qihong Duan & Junrong Liu - 97-119 Tests for statistical significance of a treatment effect in the presence of hidden sub-populations
by B. Karmakar & K. Dhara & K. Dey & A. Basu & A. Ghosh - 121-158 Nonparametric estimation of general multivariate tail dependence and applications to financial time series
by Yuri Salazar & Wing Ng - 159-175 Exploring copulas for the imputation of complex dependent data
by F. Di Lascio & Simone Giannerini & Alessandra Reale
November 2014, Volume 23, Issue 4
- 473-476 Editorial: Forum on recent developments on finitely additive probabilities and coherence
by Lucio Barabesi - 477-482 Random walks and the number theoretic density
by William Sudderth - 483-500 A unifying view on some problems in probability and statistics
by Patrizia Berti & Luca Pratelli & Pietro Rigo - 501-518 On the equivalence of conglomerability and disintegrability for unbounded random variables
by Mark Schervish & Teddy Seidenfeld & Joseph Kadane - 501-518 On the equivalence of conglomerability and disintegrability for unbounded random variables
by Mark J. Schervish & Teddy Seidenfeld & Joseph B. Kadane - 519-545 Bayesian inference: the role of coherence to deal with a prior belief function
by G. Coletti & D. Petturiti & B. Vantaggi - 547-563 A generalization of the slashed distribution via alpha skew normal distribution
by Wenhao Gui - 565-575 Minimum density power divergence estimator for covariance matrix based on skew $$t$$ t distribution
by Byungsoo Kim & Sangyeol Lee - 577-600 Modelling nonlinearities in commodity prices using smooth transition regression models with exogenous transition variables
by Hany Fahmy - 601-646 Bayesian hierarchical statistical SIRS models
by Lili Zhuang & Noel Cressie
August 2014, Volume 23, Issue 3
- 307-343 On simulation and properties of the stable law
by Luc Devroye & Lancelot James - 345-351 Discussion of “On simulation and properties of the stable law” by L. Devroye and L. James
by Lucio Barabesi & Luca Pratelli - 353-357 Discussion of ‘on simulation and properties of the stable law’ by Devroye and James
by Michele Bianchi & Frank Fabozzi - 359-363 Discussion on the paper “On simulation and properties of the stable law” by L. Devroye and L. James
by Mirko D’Ovidio & Federico Polito - 365-369 Discussion of “On simulation and properties of the stable law” by L. Devroye and L. James
by Stefano Favaro & Bernardo Nipoti - 371-377 Discussion of “On simulation and properties of the stable law” by L. Devroye and L. James
by Antonio Lijoi & Igor Prünster - 379-380 Rejoinder
by Luc Devroye & Lancelot James - 381-399 Effect size for comparing two or more normal distributions based on maximal contrasts in outcomes
by Yan Ling & Paul Nelson - 401-416 Some new aspects of taxicab correspondence analysis
by Vartan Choulakian & Biagio Simonetti & Thu Pham Gia - 417-433 Estimation of causal effects in observational studies with interference between units
by Mathias Lundin & Maria Karlsson - 435-449 Kernel-based semiparametric multinomial logit modelling of political party preferences
by Roland Langrock & Nils-Bastian Heidenreich & Stefan Sperlich - 451-472 Revisions in official data and forecasting
by Valentina Raponi & Cecilia Frale
June 2014, Volume 23, Issue 2
- 149-174 Estimation of covariance functions by a fully data-driven model selection procedure and its application to Kriging spatial interpolation of real rainfall data
by Rolando Biscay Lirio & Dunia Camejo & Jean-Michel Loubes & Lilian Muñiz Alvarez - 175-188 Efficient tests for one sample correlated binary data with applications
by Guogen Shan & Changxing Ma - 189-208 Tests for multivariate normality based on canonical correlations
by Måns Thulin - 209-227 The multisample Cucconi test
by Marco Marozzi - 229-264 Using large data sets to forecast sectoral employment
by Rangan Gupta & Alain Kabundi & Stephen Miller & Josine Uwilingiye - 265-282 Cointegration testing under structural change: reducing size distortions and improving power of residual based tests
by Marco Morales - 283-305 Estimates for geographical domains through geoadditive models in presence of incomplete geographical information
by Chiara Bocci & Emilia Rocco
March 2014, Volume 23, Issue 1
- 1-39 Consistency of a nonparametric conditional mode estimator for random fields
by Sophie Dabo-Niang & Sidi Ould-Abdi & Ahmedoune Ould-Abdi & Aliou Diop - 41-50 Evidential inference and optimal sample size determination on the basis of record values and record times under random sampling scheme
by Mahdi Doostparast & Mahdi Emadi - 51-69 Empirical likelihood for varying-coefficient semiparametric mixed-effects errors-in-variables models with longitudinal data
by Xing-cai Zhou & Jin-Guan Lin - 71-94 Bayesian scanning of spatial disease rates with integrated nested Laplace approximation (INLA)
by Massimo Bilancia & Giacomo Demarinis - 95-121 Jointly modeling time-to-event and longitudinal data: a Bayesian approach
by Yangxin Huang & X. Hu & Getachew Dagne - 123-148 A new bivariate exponential distribution for modeling moderately negative dependence
by Muhammad Mohsin & Hannes Kazianka & Jürgen Pilz & Albrecht Gebhardt
November 2013, Volume 22, Issue 4
- 427-454 Model-based clustering and classification with non-normal mixture distributions
by Sharon Lee & Geoffrey McLachlan - 455-458 Discussion of “Model-based clustering with non-normal mixture distributions” by S. X. Lee and G. J. McLachlan
by Christian Hennig - 459-461 Comments on: model-based clustering and classification with non-normal mixture distributions
by L. García-Escudero & A. Gordaliza & A. Mayo-Iscar - 463-465 Discussion of “Model-based clustering and classification with non-normal mixture distributions” by S.X. Lee and G.J. McLachlan
by Giuliano Galimberti & Angela Montanari - 467-472 Discussion of ‘Model-based clustering and classification with non-normal mixture distributions’ by Lee and McLachlan
by Paul McNicholas & Ryan Browne & Paula Murray - 473-479 Rejoinder to the discussion of “Model-based clustering and classification with non-normal mixture distributions”
by Sharon Lee & Geoffrey McLachlan - 481-500 Threshold selection for extremes under a semiparametric model
by Juan Gonzalez & Daniela Rodriguez & Mariela Sued - 501-516 A two-sample test when data are contaminated
by Denys Pommeret - 517-534 Estimating health expectancy in presence of missing data: an application using HID survey
by Cristina Giudici & Maria Arezzo & Nicolas Brouard - 535-572 A test for bivariate normality with applications in microeconometric models
by Riccardo Lucchetti & Claudia Pigini - 573-587 The association between multidose vaccinations and death: comparing case series methods when the first exposure changes the general risk of an event
by Ronny Kuhnert & Stefania Spila-Alegiani & Gianpaolo Tomba & Giuseppe Traversa & Mechtild Vennemann & Hartmut Hecker
August 2013, Volume 22, Issue 3
- 285-303 On the parameters of Zenga distribution
by Alberto Arcagni & Francesco Porro - 305-318 Estimating common standard deviation of two normal populations with ordered means
by Manas Tripathy & Somesh Kumar & Nabendu Pal - 319-340 Predictive control of posterior robustness for sample size choice in a Bernoulli model
by Fulvio De Santis & Maria Fasciolo & Stefania Gubbiotti - 341-353 Nonparametric estimation of nonlinear dynamics by metric-based local linear approximation
by Isao Shoji - 355-380 The geometric exponential Poisson distribution
by Saralees Nadarajah & Vicente Cancho & Edwin Ortega - 381-390 Consistency of the estimator of binary response models based on AUC maximization
by Igor Fedotenkov - 391-402 A genealogy of Florence Nightingale, Charles Darwin, Francis Galton and Francis Ysidro Edgeworth with special reference to their Italian connections and an annexe on Beatrice Webb and Charles Booth
by Richard Farebrother - 403-425 A new mobility index for transition matrices
by C. Ferretti & P. Ganugi
June 2013, Volume 22, Issue 2
- 131-153 Nonparametric Phase-II monitoring for detecting monotone trend based on inverse sampling
by Amitava Mukherjee - 155-166 Sample size determination for the confidence interval of mean comparison adjusted by multiple covariates
by Xiaofeng Liu - 167-182 Quantile based stop-loss transform and its applications
by N. Nair & P. Sankaran & S. Sunoj - 183-207 Multilevel dimensionality-reduction methods
by Pietro Lovaglio & Giorgio Vittadini - 209-226 An empirical likelihood ratio based goodness-of-fit test for skew normality
by Wei Ning & Grace Ngunkeng - 227-242 Latent class models for financial data analysis: some statistical developments
by Luca De Angelis - 243-267 On the use of MCMC computerized adaptive testing with empirical prior information to improve efficiency
by Mariagiulia Matteucci & Bernard Veldkamp - 269-283 Robust analysis of bibliometric data
by Francesca De Battisti & Silvia Salini
March 2013, Volume 22, Issue 1
- 1-2 Special issue on inferential strategies for environmental surveys
by Lucio Barabesi & Lorenzo Fattorini - 3-31 Variance predictors for isotropic geometric sampling, with applications in forestry
by Luis Cruz-Orive - 33-43 Adaptive web sampling in ecology
by Steven Thompson - 45-66 Improved inference on capture recapture models with behavioural effects
by Danilo Fegatelli & Luca Tardella - 67-80 Accounting for animal density gradients using independent information in distance sampling surveys
by Tiago Marques & Stephen Buckland & Regina Bispo & Brett Howland - 81-95 Local stationarity in small area estimation models
by Roberto Benedetti & Monica Pratesi & Nicola Salvati - 97-112 Discussing the “big n problem”
by Giovanna Jona Lasinio & Gianluca Mastrantonio & Alessio Pollice - 113-129 Detection of biomass change in a Norwegian mountain forest area using small footprint airborne laser scanner data
by Ole Bollandsås & Timothy Gregoire & Erik Næsset & Bernt-Håvard Øyen
November 2012, Volume 21, Issue 4
- 391-409 A Sarmanov family with beta and gamma marginal distributions: an application to the Bayes premium in a collective risk model
by Agustín Hernández-Bastida & M. Fernández-Sánchez - 411-436 Robust parameter estimation for the Ornstein–Uhlenbeck process
by Sonja Rieder - 437-452 An omnibus lack of fit test in logistic regression with sparse data
by Ying Liu & Paul Nelson & Shie-Shien Yang - 453-473 Student-t censored regression model: properties and inference
by Reinaldo Arellano-Valle & Luis Castro & Graciela González-Farías & Karla Muñoz-Gajardo - 475-484 An extension of the standardized randomized response technique to a multi-stage setup
by Andreas Quatember - 485-516 Assessing the effect of the amount of financial aids to Piedmont firms using the generalized propensity score
by Michela Bia & Alessandra Mattei - 517-537 Interval estimation for the Sharpe Ratio when returns are not i.i.d. with special emphasis on the GARCH(1,1) process with symmetric innovations
by Lucio De Capitani
August 2012, Volume 21, Issue 3
- 249-250 Editorial
by Andrea Cerioli - 251-277 On wavelet analysis of the nth order fractional Brownian motion
by Hedi Kortas & Zouhaier Dhifaoui & Samir Ben Ammou - 279-295 Bayesian quantile regression for parametric nonlinear mixed effects models
by Jing Wang - 297-314 Inferences on the ratio of two generalized variances: independent and correlated cases
by Ali Jafari - 315-334 An analysis of global warming in the Alpine region based on nonlinear nonstationary time series models
by Francesco Battaglia & Mattheos Protopapas - 335-339 Discussion of ‘An analysis of global warming in the Alpine region based on nonlinear nonstationary time series models’ by Battaglia and Protopapas
by Howell Tong - 341-346 Discussion of “An analysis of global warming in the Alpine region based on nonlinear nonstationary time series models” by F. Battaglia and M. K. Protopapas
by M. Mudelsee - 347-353 Discussion of ‘An analysis of global warming in the Alpine region based on nonlinear nonstationary time series models’ by Battaglia and Protopapas
by Reinhard Böhm - 355-361 A comment on “An analysis of global warming in the Alpine Region based on nonlinear nonstationary time series models” by F. Battaglia and M. K. Protopapas
by Francesco Giordano & Cira Perna & Cosimo Vitale - 363-369 Discussion of “An analysis of global warming in the Alpine region based of nonlinear nonstationary time series models” by F. Battaglia and M. K. Protopapas
by Domenico Piccolo - 371-373 Rejoinder to the discussion of “An analysis of global warming in the Alpine region based on nonlinear nonstationary time series models”
by Francesco Battaglia & Mattheos Protopapas - 375-389 A stress–strength model with dependent variables to measure household financial fragility
by Filippo Domma & Sabrina Giordano
June 2012, Volume 21, Issue 2
- 121-137 A partially adaptive estimator for the censored regression model based on a mixture of normal distributions
by Steven Caudill - 139-168 The Kumaraswamy Gumbel distribution
by Gauss Cordeiro & Saralees Nadarajah & Edwin Ortega - 169-191 Asymptotic distribution of martingale estimators for a class of epidemic models
by Raúl Fierro - 193-209 Comparing degree programs from students’ assessments: A LCRA-based adjusted composite indicator
by Isabella Sulis & Mariano Porcu - 211-226 Place of living and health inequality: a study for elderly Italians
by Elena Pirani & Silvana Salvini - 227-247 Modelling work history patterns in the Italian labour market
by Elena Fabrizi & Alessio Farcomeni & Valerio Gatta
March 2012, Volume 21, Issue 1
- 1-22 Modelling shelter choices in a class of mixture models for ordinal responses
by Maria Iannario - 23-47 Measuring the association of stationary point processes using spectral analysis techniques
by Dimitrios Tsitsis & George Karavasilis & Alexandros Rigas - 49-74 Bayesian factor analysis for spatially correlated data: application to cancer incidence data in Scotland
by Maura Mezzetti - 75-91 Bayesian univariate space-time hierarchical model for mapping pollutant concentrations in the municipal area of Taranto
by Serena Arima & Lorenza Cretarola & Giovanna Jona Lasinio & Alessio Pollice - 93-107 Temporal aggregation of cyclical models with business cycle applications
by Giacomo Sbrana & Andrea Silvestrini - 109-119 A revised Brown and Payne model of voting behaviour applied to the 2009 elections in Italy
by A. Forcina & M. Gnaldi & B. Bracalente
November 2011, Volume 20, Issue 4
- 409-422 Robust nonparametric tests for the two-sample location problem
by Roland Fried & Herold Dehling - 423-438 Bayesian inference for the Birnbaum–Saunders nonlinear regression model
by Rafael Farias & Artur Lemonte - 439-450 Reduction of bias and skewness with applications to second order accuracy
by Christopher Withers & Saralees Nadarajah - 451-462 Fitting survival data with penalized Poisson regression
by Aris Perperoglou - 463-486 Modeling heavy-tailed, skewed and peaked uncertainty phenomena with bounded support
by C. García & J. García Pérez & J. Dorp - 487-506 Practical implications of higher moments in risk management
by Matteo Grigoletto & Francesco Lisi - 507-518 Nonproportional random effects modelling of a neonatal unit operational patient pathways
by Shola Adeyemi & Thierry Chaussalet & Eren Demir - 519-542 Cultural tourism and temporary art exhibitions in Italy: a panel data analysis
by F. Di Lascio & Simone Giannerini & Antonello Scorcu & Guido Candela
August 2011, Volume 20, Issue 3
- 259-290 Sampling schemes for generalized linear Dirichlet process random effects models
by Minjung Kyung & Jeff Gill & George Casella - 291-293 Discussion of “Sampling schemes for generalized linear Dirichlet process random effects models” by M. Kyung, J. Gill and G. Casella
by Subharup Guha - 295-297 Discussion of the paper: “Sampling schemes for generalized linear Dirichlet process random effects models” by M. Kyung, J. Gill, and G. Casella
by M. Filippone & A. Mira & M. Girolami - 299-301 Discussion of “Sampling schemes for generalized DP random effects models”
by Peter Müller - 303-304 Rejoinder to the discussion of “Sampling schemes for generalized linear Dirichlet process random effects models”
by Minjung Kyung & Jeff Gill & George Casella - 305-327 Parameter estimation in the classical occupancy model
by Lucio Barabesi & Marzia Marcheselli - 329-356 A new spatial shift-share decomposition for the regional growth analysis: a local study of the employment based on Italian Business Statistical Register
by Gian Zaccomer & Pamela Mason - 357-381 Regression analysis of competing risks data via semi-parametric additive hazard model
by Xu Zhang & Haci Akcin & Hyun Lim - 383-407 Simulation of close-to-reality population data for household surveys with application to EU-SILC
by Andreas Alfons & Stefan Kraft & Matthias Templ & Peter Filzmoser
June 2011, Volume 20, Issue 2
- 123-140 An improved class of estimators for the population mean
by Giancarlo Diana & Marco Giordan & Pier Perri - 141-170 Assessing the pattern of covariance matrices via an augmentation multiple testing procedure
by Francesca Greselin & Salvatore Ingrassia & Antonio Punzo - 171-199 Monitoring parameter change in time series models
by Okyoung Na & Youngmi Lee & Sangyeol Lee - 201-220 A wavelet-based approach for modelling exchange rates
by Boubaker Heni & Boutahar Mohamed - 221-240 A note on transformed likelihood approach in linear dynamic panel models
by Luca Grassetti - 241-258 Security price responses to unexpected earnings: a nonparametric investigation
by Lei Gao & Li Wang
March 2011, Volume 20, Issue 1
- 1-21 Adaptive cluster sampling with a data driven stopping rule
by Stefano Gattone & Tonio Di Battista - 23-48 A wavelet Whittle estimator of generalized long-memory stochastic volatility
by Alex Gonzaga & Michael Hauser - 49-63 Latent variable modeling of disability in people aged 65 or more
by Giorgio Montanari & M. Ranalli & Paolo Eusebi - 65-82 Robust variable selection with application to quality of life research
by Andreas Alfons & Wolfgang Baaske & Peter Filzmoser & Wolfgang Mader & Roland Wieser - 83-100 A joint-modeling approach to assess the impact of biomarker variability on the risk of developing clinical outcome
by Feng Gao & J. Miller & Chengjie Xiong & Julia Beiser & Mae Gordon - 101-121 Modeling individual migraine severity with autoregressive ordered probit models
by Claudia Czado & Anette Heyn & Gernot Müller
November 2010, Volume 19, Issue 4
- 463-476 A note on the asymptotic behaviour of empirical likelihood statistics
by Gianfranco Adimari & Annamaria Guolo - 477-495 A bivariate regression model for matched paired survival data: local influence and residual analysis
by Gladys Barriga & Francisco Louzada-Neto & Edwin Ortega & Vicente Cancho - 497-515 Influence functions of the Spearman and Kendall correlation measures
by Christophe Croux & Catherine Dehon - 517-528 Fréchet differentiability in statistical inference for time series
by Tadeusz Bednarski - 529-540 On the extension of sliced average variance estimation to multivariate regression
by Jae Yoo & Keunbaik Lee & Seongho Wu - 541-565 A nonparametric symmetry test for absolutely continuous bivariate copulas
by Arturo Erdely & José González-Barrios - 567-585 Assessing repeatability and reproducibility using hierarchical modeling: a case-study of distortion product otoacoustic emissions
by Alessandra Brazzale & Paolo Galloni & Marta Parazzini & Carmela Marino & Paolo Ravazzani - 587-607 A fuzzy logic approach to poverty analysis based on the Gini and Bonferroni inequality indices
by Paolo Giordani & Giovanni Giorgi
August 2010, Volume 19, Issue 3
- 307-318 Double linear diagonals-parameter symmetry and decomposition of double symmetry for square tables
by Kouji Tahata & Sadao Tomizawa - 319-331 Test for randomness of the technology parameter in a stochastic frontier regression model
by T. Ramanathan & Chanchala Ghadge - 333-354 Infinitesimally Robust estimation in general smoothly parametrized models
by Matthias Kohl & Peter Ruckdeschel & Helmut Rieder - 355-378 Threshold selection in jump-discriminant filter for discretely observed jump processes
by Yasutaka Shimizu - 379-397 Influence diagnostics in the tobit censored response model
by Michelli Barros & Manuel Galea & Manuel González & Víctor Leiva - 399-430 Fractionally integrated time varying GARCH model
by Adnen Ben Nasr & Mohamed Boutahar & Abdelwahed Trabelsi - 431-444 A multiple imputation approach to deal with the unity measure error
by Marco Di Zio & Ugo Guarnera - 445-462 Modeling road traffic crashes with zero-inflation and site-specific random effects
by Helai Huang & Hong Chin
June 2010, Volume 19, Issue 2
- 151-151 Editorial
by Francesco Battaglia - 153-170 Adaptive nonparametric tests for the two-sample scale problem under symmetry
by Uttam Bandyopadhyay & Dhiman Dutta - 171-192 Polynomials for classification trees and applications
by Ian Dinwoodie - 193-215 Behaviour of skewness, kurtosis and normality tests in long memory data
by Mohamed Boutahar - 217-236 Consequences of effect size heterogeneity for meta-analysis: a Monte Carlo study
by Mark Koetse & Raymond Florax & Henri Groot - 237-253 The fragility of the KPSS stationarity test
by Nunzio Cappuccio & Diego Lubian - 255-276 A geostatistical approach to define guidelines for radon prone area identification
by Riccardo Borgoni & Piero Quatto & Giorgio Somà & Daniela Bartolo - 277-286 Group sequential tests under fractional Brownian motion in monitoring clinical trials
by Dejian Lai - 287-305 Evaluating the impact of a grouping variable on Job Satisfaction drivers
by Paola Zuccolotto
March 2010, Volume 19, Issue 1
- 1-30 Yule–Walker type estimators in periodic bilinear models: strong consistency and asymptotic normality
by Abdelouahab Bibi & Abdelhakim Aknouche - 31-46 Partial and ecological correlation: a common three-term covariance decomposition
by Renato Guseo - 47-62 Misspecification tests for periodic long memory GARCH models
by Massimiliano Caporin & Francesco Lisi - 63-77 Large deviations for estimators of some threshold parameters
by Claudio Macci - 79-106 Nonparametric likelihood inference for general autoregressive models
by Francesco Bravo - 107-125 The importance of intentions in the mechanism of reproductive behaviour formation
by Silvia Meggiolaro - 127-139 On using Bayesian networks for complexity reduction in decision trees
by Adriana Brogini & Debora Slanzi - 141-150 Penalized models to estimate customer survival
by Silvia Figini
November 2009, Volume 18, Issue 4
- 453-464 On some properties of equilibrium distributions of order n
by N. Nair & M. Preeth - 465-481 A bivariate F distribution with marginals on arbitrary numerator and denominator degrees of freedom, and related bivariate beta and t distributions
by A. El-Bassiouny & M. Jones - 483-505 Empirical likelihood intervals for the population mean and quantiles based on balanced ranked set samples
by Ayman Baklizi