Content
September 2023, Volume 32, Issue 3
- 715-731 The relative importance of ability, luck and motivation in team sports: a Bayesian model of performance in the English Rugby Premiership
by Federico Fioravanti & Fernando Delbianco & Fernando Tohmé - 733-767 Calibrated Bayes factors under flexible priors
by Dan J. Spitzner - 769-786 Partial least square based approaches for high-dimensional linear mixed models
by Caroline Bazzoli & Sophie Lambert-Lacroix & Marie-José Martinez - 787-817 Model-based clustering via mixtures of unrestricted skew normal factor analyzers with complete and incomplete data
by Wan-Lun Wang & Tsung-I Lin - 819-841 Alternative fixed-effects panel model using weighted asymmetric least squares regression
by Amadou Barry & Karim Oualkacha & Arthur Charpentier - 843-865 Bayesian local bandwidths in a flexible semiparametric kernel estimation for multivariate count data with diagnostics
by Sobom M. Somé & Célestin C. Kokonendji & Nawel Belaid & Smail Adjabi & Rahma Abid - 867-882 Procrustes-based distances for exploring between-matrices similarity
by Angela Andreella & Riccardo Santis & Anna Vesely & Livio Finos - 883-909 A new cure rate frailty regression model based on a weighted Lindley distribution applied to stomach cancer data
by Alex Mota & Eder A. Milani & Jeremias Leão & Pedro L. Ramos & Paulo H. Ferreira & Oilson G. Junior & Vera L. D. Tomazella & Francisco Louzada - 911-930 Assessing maths learning gaps using Italian longitudinal data
by Silvia Bianconcini & Stefania Mignani & Jacopo Mingozzi - 931-956 Estimators for ROC curves with missing biomarkers values and informative covariates
by Ana M. Bianco & Graciela Boente & Wenceslao González–Manteiga & Ana Pérez–González - 957-981 A multi-decomposition of Zenga-84 inequality index: an application to the disparity in CO $$_2$$ 2 emissions in European countries
by Francesca Battisti & Francesco Porro - 983-999 Optimal two-stage spatial sampling design for estimating critical parameters of SARS-CoV-2 epidemic: Efficiency versus feasibility
by G. Alleva & G. Arbia & P. D. Falorsi & V. Nardelli & A. Zuliani - 1001-1022 Using sentiment analysis to evaluate the impact of the COVID-19 outbreak on Italy’s country reputation and stock market performance
by Gianpaolo Zammarchi & Francesco Mola & Claudio Conversano - 1023-1051 Statistical matching of sample survey data: application to integrate Iranian time use and labour force surveys
by Zahra Rezaei Ghahroodi - 1053-1056 Correction to: Using sentiment analysis to evaluate the impact of the COVID-19 outbreak on Italy’s country reputation and stock market performance
by Gianpaolo Zammarchi & Francesco Mola & Claudio Conversano
June 2023, Volume 32, Issue 2
- 349-363 Nonparametric directional testing for multivariate problems in conjunction with a closed testing principle
by Taddesse Kassahun & Eshetu Wencheko & Arne C. Bathke - 365-400 Semiparametric estimation of INAR models using roughness penalization
by Maxime Faymonville & Carsten Jentsch & Christian H. Weiß & Boris Aleksandrov - 401-423 Bayesian GARCH modeling of functional sports data
by Patric Dolmeta & Raffaele Argiento & Silvia Montagna - 425-446 Generalized linear mixed model with bayesian rank likelihood
by Lyubov Doroshenko & Brunero Liseo - 447-467 Weighting estimation under bipartite incidence graph sampling
by Martina Patone & Li-Chun Zhang - 469-492 Quantile regression in random effects meta-analysis model
by Xiaowen Dai & Libin Jin & Lei Shi - 493-507 Estimating the causal effect of timing on the reach of social media posts
by Lauri Valkonen & Jouni Helske & Juha Karvanen - 509-543 A new measure for the attitude to mobility of Italian students and graduates: a topological data analysis approach
by Martina Vittorietti & Ornella Giambalvo & Vincenzo Giuseppe Genova & Fabio Aiello - 545-575 A multilevel structured latent curve model for disaggregating student and school contributions to learning
by Daniel McNeish & Jeffrey R. Harring & Denis Dumas - 577-591 When does morbidity start? An analysis of changes in morbidity between 2013 and 2019 in Italy
by Andrea Pastore & Stefano F. Tonellato & Emanuele Aliverti & Stefano Campostrini - 593-617 Dual frame design in agricultural surveys: reviewing roots and methodological perspectives
by C. Ferraz & F. Mecatti & J. Torres - 619-658 A new autoregressive process driven by explanatory variables and past observations: an application to PM 2.5
by Zheqi Wang & Dehui Wang & Jianhua Cheng - 659-679 Assessing individual skill influence on housework time of Italian women: an endogenous-switching approach
by Giorgio Calzolari & Maria Gabriella Campolo & Antonino Pino & Laura Magazzini - 681-711 Predictions of machine learning with mixed-effects in analyzing longitudinal data under model misspecification
by Shuwen Hu & You-Gan Wang & Christopher Drovandi & Taoyun Cao - 713-714 Correction: Predictions of machine learning with mixed-effects in analyzing longitudinal data under model misspecification
by Shuwen Hu & You-Gan Wang & Christopher Drovandi & Taoyun Cao
March 2023, Volume 32, Issue 1
- 1-25 Influence measures in nonparametric regression model with symmetric random errors
by Germán Ibacache-Pulgar & Cristian Villegas & Javier Linkolk López-Gonzales & Magaly Moraga - 27-56 Linear approximation of the Threshold AutoRegressive model: an application to order estimation
by Francesco Giordano & Marcella Niglio & Cosimo Damiano Vitale - 57-74 Optimal sample size for estimating the mean concentration of invasive organisms in ballast water via a semiparametric Bayesian analysis
by Eliardo G. Costa & Carlos Daniel Paulino & Julio M. Singer - 75-102 Automatic robust Box–Cox and extended Yeo–Johnson transformations in regression
by Marco Riani & Anthony C. Atkinson & Aldo Corbellini - 103-128 Nonparametric estimation of the distribution of gap times for recurrent events
by Gustavo Soutinho & Luís Meira-Machado - 129-148 Heterogeneity in general multinomial choice models
by Ingrid Mauerer & Gerhard Tutz - 149-168 A Bayesian variable selection approach to longitudinal quantile regression
by Priya Kedia & Damitri Kundu & Kiranmoy Das - 169-195 Generalised calibration with latent variables for the treatment of unit nonresponse in sample surveys
by M. Giovanna Ranalli & Alina Matei & Andrea Neri - 197-209 Maximum likelihood estimation of missing data probability for nonmonotone missing at random data
by Yang Zhao - 211-235 Trend resistant balanced bipartite block designs
by Seema Jaggi & Kader Ali Sarkar & Arpan Bhowmik & Eldho Varghese & Cini Varghese & Anindita Datta - 237-270 2-step Gradient Boosting approach to selectivity bias correction in tax audit: an application to the VAT gap in Italy
by Pierfrancesco Alaimo Di Loro & Daria Scacciatelli & Giovanna Tagliaferri - 271-298 Modelling time-varying covariates effect on survival via functional data analysis: application to the MRC BO06 trial in osteosarcoma
by Marta Spreafico & Francesca Ieva & Marta Fiocco - 299-328 Does education protect families' well-being in times of crisis? Measurement issues and empirical findings from IT-SILC data
by Francesca Giambona & Mariano Porcu & Isabella Sulis - 329-345 RIF regression via sensitivity curves
by Javier Alejo & Gabriel Montes-Rojas & Walter Sosa-Escudero - 347-347 Correction to: RIF regression via sensitivity curves
by Javier Alejo & Gabriel Montes-Rojas & Walter Sosa-Escudero
December 2022, Volume 31, Issue 5
- 1071-1097 A mixture model approach to spectral clustering and application to textual data
by Cinzia Di Nuzzo & Salvatore Ingrassia - 1099-1126 Student’s-t process with spatial deformation for spatio-temporal data
by Fidel Ernesto Castro Morales & Dimitris N. Politis & Jacek Leskow & Marina Silva Paez - 1127-1180 Selection of mixed copula for association modeling with tied observations
by Yang Li & Fan Wang & Ye Shen & Yichen Qin & Jiesheng Si - 1181-1202 Quantile regression via the EM algorithm for joint modeling of mixed discrete and continuous data based on Gaussian copula
by S. Ghasemzadeh & M. Ganjali & T. Baghfalaki - 1203-1223 Markov models for duration-dependent transitions: selecting the states using duration values or duration intervals?
by Philippe Carette & Marie-Anne Guerry - 1225-1243 Joint modeling for longitudinal covariate and binary outcome via h-likelihood
by Toshihiro Misumi - 1245-1271 A Bayesian approach to model individual differences and to partition individuals: case studies in growth and learning curves
by Maura Mezzetti & Daniele Borzelli & Andrea d’Avella - 1273-1288 Double-calibration estimators accounting for under-coverage and nonresponse in socio-economic surveys
by Maria Michela Dickson & Giuseppe Espa & Lorenzo Fattorini & Flavio Santi - 1289-1327 A procedure for testing the hypothesis of weak efficiency in financial markets: a Monte Carlo simulation
by José A. Roldán-Casas & Mª B. García-Moreno García - 1329-1353 On a bivariate copula for modeling negative dependence: application to New York air quality data
by Shyamal Ghosh & Prajamitra Bhuyan & Maxim Finkelstein - 1355-1373 School climate and academic performance of Italian students: the role of disciplinary behaviour and parental involvement
by Sergio Longobardi & Margherita Maria Pagliuca & Andrea Regoli - 1375-1401 The inextricable association of measurement errors and tax evasion as examined through a microanalysis of survey data matched with fiscal data: a case study
by Michele Lalla & Patrizio Frederic & Daniela Mantovani - 1403-1428 Spare time use: profiles of Italian Millennials (beyond the media hype)
by Simone Del Sarto & Michela Gnaldi
October 2022, Volume 31, Issue 4
- 729-757 Effective transfer entropy to measure information flows in credit markets
by Nicoló Andrea Caserini & Paolo Pagnottoni - 759-784 Impact measurement and dimension reduction of auxiliary variables in calibration estimator using the Shapley decomposition
by Alessio Guandalini & Claudio Ceccarelli - 785-814 Sensitivity analysis for unobserved confounding in causal mediation analysis allowing for effect modification, censoring and truncation
by Anita Lindmark - 815-846 Detecting economic insecurity in Italy: a latent transition modelling approach
by Francesca Giambona & Laura Grassini & Daniele Vignoli - 847-848 Correction to: Detecting economic insecurity in Italy: a latent transition modelling approach
by Francesca Giambona & Laura Grassini & Daniele Vignoli - 849-879 Model-assisted calibration with SCAD to estimated control for non-probability samples
by Zhan Liu & Chaofeng Tu & Yingli Pan - 881-900 A COVINDEX based on a GAM beta regression model with an application to the COVID-19 pandemic in Italy
by Luca Scrucca - 901-923 Bridge closure in the road network of Lombardy: a spatio-temporal analysis of the socio-economic impacts
by Agostino Torti & Marika Arena & Giovanni Azzone & Piercesare Secchi & Simone Vantini - 925-954 Distortion representations of multivariate distributions
by Jorge Navarro & Camilla Calì & Maria Longobardi & Fabrizio Durante - 955-979 Inference for non-probability samples under high-dimensional covariate-adjusted superpopulation model
by Yingli Pan & Wen Cai & Zhan Liu - 981-1013 Bayesian network structural learning from complex survey data: a resampling based approach
by Daniela Marella & Paola Vicard - 1015-1035 Networks as mediating variables: a Bayesian latent space approach
by Chiara Di Maria & Antonino Abbruzzo & Gianfranco Lovison - 1037-1068 Control charts for monitoring the median in non-negative asymmetric data
by Lucas O. F. Sales & André L. S. Pinho & Marcelo Bourguignon & F. Moisés C. Medeiros - 1069-1069 Correction to: On the equivalence of conglomerability and disintegrability for unbounded random variables
by Mark J. Schervish & Teddy Seidenfeld & Joseph B. Kadane
September 2022, Volume 31, Issue 3
- 459-480 Generalized proportional reversed hazard rate distributions with application in medicine
by Božidar V. Popović & Ali İ. Genç & Filippo Domma - 481-493 The relationship between longevity and lifespan variation
by Andrea Nigri & Elisabetta Barbi & Susanna Levantesi - 495-529 Group penalized quantile regression
by Mohamed Ouhourane & Yi Yang & Andréa L. Benedet & Karim Oualkacha - 531-550 Nonparametric semi-supervised classification with application to signal detection in high energy physics
by Alessandro Casa & Giovanna Menardi - 551-585 Recycled two-stage estimation in nonlinear mixed effects regression models
by Yue Zhang & Ben Boukai - 587-615 Evidences from survey data and fiscal data: nonresponse and measurement errors in annual incomes
by Maddalena Cavicchioli & Michele Lalla - 617-635 A comparison between VAR processes jointly modeling GDP and Unemployment rate in France and Germany
by Francesca Di Iorio & Umberto Triacca - 637-659 Alternative sensitivity analyses for regression estimates of treatment effects to unobserved confounding in binary and survival data
by Byeong Yeob Choi & Jason P. Fine & Roman Fernandez & M. Alan Brookhart - 661-678 Queue hurdle Coxian phase-type model for two-stage process of population-based cancer screening
by Hsiao-Hsuan Jen & Chen-Yang Hsu & Amy Ming-Fang Yen & Han-Mo Chiu & Hsiu-Hsi Chen - 679-707 Hessian orderings of multivariate normal variance-mean mixture distributions and their applications in evaluating dependent multivariate risk portfolios
by Mehdi Amiri & Narayanaswamy Balakrishnan & Abbas Eftekharian - 709-727 A pseudo-values regression model for non-fatal event free survival in the presence of semi-competing risks
by Annalisa Orenti & Patrizia Boracchi & Giuseppe Marano & Elia Biganzoli & Federico Ambrogi
June 2022, Volume 31, Issue 2
- 197-225 Bayesian graphical models for modern biological applications
by Yang Ni & Veerabhadran Baladandayuthapani & Marina Vannucci & Francesco C. Stingo - 227-229 Discussion to: Bayesian Graphical Models for Modern Biological Applications by Y. Ni, V. Baladandayuthapani, M. Vannucci and F.C. Stingo
by Alberto Roverato - 231-233 Discussion to: Bayesian graphical models for modern biological applications by Y. Ni, V. Baladandayuthapani, M. Vannucci and F.C. Stingo
by David Marcano & Adrian Dobra - 235-239 Discussion to: Bayesian graphical models for modern biological applications by Y. Ni, V. Baladandayuthapani, M. Vannucci and F.C. Stingo
by Anindya Bhadra - 241-251 Extending graphical models for applications: on covariates, missingness and normality
by Luigi Augugliaro & Veronica Vinciotti & Ernst C. Wit - 253-260 Discussion to: Bayesian graphical models for modern biological applications by Y. Ni, V. Baladandayuthapani, M. Vannucci and F.C. Stingo
by Michael Schweinberger - 261-267 Discussion to: Bayesian graphical models for modern biological applications by Y. Ni, V. Baladandayuthapani, M. Vannucci and F.C. Stingo
by Federico Castelletti & Guido Consonni & Luca Rocca - 269-278 Discussion to: Bayesian graphical models for modern biological applications by Y. Ni, V. Baladandayuthapani, M. Vannucci and F.C. Stingo
by Maria Prosperina Vitale & Giuseppe Giordano & Giancarlo Ragozini - 279-286 Discussion to: Bayesian graphical models for modern biological applications by Y. Ni, V. Baladandayuthapani, M. Vannucci and F.C. Stingo
by Yize Zhao & Zhe Sun & Jian Kang - 287-294 Rejoinder to the discussion of “Bayesian graphical models for modern biological applications”
by Yang Ni & Veerabhadran Baladandayuthapani & Marina Vannucci & Francesco C. Stingo - 295-319 Estimation and decomposition of food price inflation risk
by Kris Boudt & Hong Anh Luu - 321-341 Model detection and variable selection for mode varying coefficient model
by Xuejun Ma & Yue Du & Jingli Wang - 343-364 Predictors of refraction prediction error after cataract surgery: a shared parameter model to account for missing post-operative measurements
by D. Claire Miller & Samantha MaWhinney & Jennifer L. Patnaik & Karen L. Christopher & Anne M. Lynch & Brandie D. Wagner - 365-386 Chunk-wise regularised PCA-based imputation of missing data
by A. Iodice D’Enza & A. Markos & F. Palumbo - 387-424 Goodness-of-fit test for $$\alpha$$ α -stable distribution based on the quantile conditional variance statistics
by Marcin Pitera & Aleksei Chechkin & Agnieszka Wyłomańska - 425-425 Publisher Correction to: Goodness-of-fit test for α-stable distribution based on the quantile conditional variance statistics
by Marcin Pitera & Aleksei Chechkin & Agnieszka Wyłomańska - 427-458 Estimation and computations for Gaussian mixtures with uniform noise under separation constraints
by Pietro Coretto
March 2022, Volume 31, Issue 1
- 1-20 Studying the relationship between anxiety and school achievement: evidence from PISA data
by Antonella D’Agostino & Francesco Schirripa Spagnolo & Nicola Salvati - 21-39 Dependence on a collection of Poisson random variables
by Luis E. Nieto-Barajas - 41-61 A flexible link for joint modelling longitudinal and survival data accounting for individual longitudinal heterogeneity
by Rui Martins - 63-85 Modelling interaction patterns in a predator-prey system of two freshwater organisms in discrete time: an identified structural VAR approach
by Helmut Herwartz - 87-108 Exact parametric causal mediation analysis for a binary outcome with a binary mediator
by Marco Doretti & Martina Raggi & Elena Stanghellini - 109-131 A Bayesian bivariate hierarchical model with correlated parameters for the analysis of road crashes in Italian tunnels
by Ciro Caliendo & Maurizio Guida & Fabio Postiglione & Isidoro Russo - 133-158 Support provided by elderly in Italy: a hierarchical analysis of ego networks controlling for alter–overlapping
by Elvira Pelle & Susanna Zaccarin & Emanuela Furfaro & Giulia Rivellini - 159-180 A simple yet efficient method of local false discovery rate estimation designed for genome-wide association data analysis
by Ali Karimnezhad - 181-195 When did coronavirus arrive in Europe?
by Augusto Cerqua & Roberta Di Stefano
December 2021, Volume 30, Issue 5
- 1285-1288 Special issue on statistical analysis of networks
by Michael Schweinberger & Francesco C. Stingo & Maria Prosperina Vitale - 1289-1314 Structural learning and estimation of joint causal effects among network-dependent variables
by Federico Castelletti & Alessandro Mascaro - 1315-1335 The Relative Fit measure for evaluating a blockmodel
by Marjan Cugmas & Aleš Žiberna & Anuška Ferligoj - 1337-1364 Online network monitoring
by Anna Malinovskaya & Philipp Otto - 1365-1398 Weighted stochastic block model
by Tin Lok James Ng & Thomas Brendan Murphy - 1399-1423 Learning social networks from text data using covariate information
by Xiaoyi Yang & Nynke M. D. Niezink & Rebecca Nugent - 1425-1444 Multiplexity analysis of networks using multigraph representations
by Termeh Shafie & David Schoch - 1445-1464 A network analysis of student mobility patterns from high school to master’s
by Vincenzo G. Genova & Michele Tumminello & Fabio Aiello & Massimo Attanasio - 1465-1483 Bayesian dynamic network actor models with application to South Korean COVID-19 patient movement data
by Antonio Mario Arrizza & Alberto Caimo - 1485-1505 On the interpretation of inflated correlation path weights in concentration graphs
by Alberto Roverato - 1507-1533 A clustering procedure for mixed-type data to explore ego network typologies: an application to elderly people living alone in Italy
by Elvira Pelle & Roberta Pappadà
October 2021, Volume 30, Issue 4
- 1109-1133 A multiple inflated negative binomial hurdle regression model: analysis of the Italians’ tourism behaviour during the Great Recession
by Chiara Bocci & Laura Grassini & Emilia Rocco - 1135-1155 The variation of the posterior variance and Bayesian sample size determination
by Jörg Martin & Clemens Elster - 1157-1174 The sufficiency of the evidence, the relevancy of the evidence, and quantifying both with a single number
by David R. Bickel - 1175-1195 Bootstrap confidence intervals for correlation between continuous repeated measures
by Guogen Shan & Hua Zhang & Jim Barbour - 1197-1217 Population size estimation based upon zero-truncated, one-inflated and sparse count data
by Dankmar Böhning & Herwig Friedl - 1219-1236 A split questionnaire survey design in the context of statistical matching
by Mehboob Ali & Göran Kauermann - 1237-1258 Parametric modeling of quantile regression coefficient functions with count data
by Paolo Frumento & Nicola Salvati - 1259-1283 Transition models for count data: a flexible alternative to fixed distribution models
by Moritz Berger & Gerhard Tutz
September 2021, Volume 30, Issue 3
- 767-778 Forum on Benford’s law and statistical methods for the detection of frauds
by Lucio Barabesi & Andrea Cerioli & Domenico Perrotta - 779-795 The mathematics of Benford’s law: a primer
by Arno Berger & Theodore P. Hill - 797-817 Recurrence relations and Benford’s law
by Madeleine Farris & Noah Luntzlara & Steven J. Miller & Lily Shao & Mengxi Wang - 819-840 A multivariate test for detecting fraud based on Benford’s law, with application to music streaming data
by Nermina Mumic & Peter Filzmoser - 841-861 robROSE: A robust approach for dealing with imbalanced data in fraud detection
by Bart Baesens & Sebastiaan Höppner & Irene Ortner & Tim Verdonck - 863-894 Semiautomatic robust regression clustering of international trade data
by Francesca Torti & Marco Riani & Gianluca Morelli - 895-926 Confronting collinearity in environmental regression models: evidence from world data
by Claudia García-García & Catalina B. García-García & Román Salmerón - 927-945 A measure of interrater absolute agreement for ordinal categorical data
by Giuseppe Bove & Pier Luigi Conti & Daniela Marella - 947-971 Including covariates in a space-time point process with application to seismicity
by Giada Adelfio & Marcello Chiodi - 973-1005 Robust Wald-type tests in GLM with random design based on minimum density power divergence estimators
by Ayanendranath Basu & Abhik Ghosh & Abhijit Mandal & Nirian Martin & Leandro Pardo - 1007-1031 An empirical comparison of two approaches for CDPCA in high-dimensional data
by Adelaide Freitas & Eloísa Macedo & Maurizio Vichi - 1033-1052 A unified approach to permutation testing for equivalence
by Rosa Arboretti & Fortunato Pesarin & Luigi Salmaso - 1053-1078 Bayesian inference of multiple structural change models with asymmetric GARCH errors
by Cathy W. S. Chen & Bonny Lee - 1079-1107 Unified Bayesian conditional autoregressive risk measures using the skew exponential power distribution
by Marco Bottone & Lea Petrella & Mauro Bernardi
June 2021, Volume 30, Issue 2
- 375-407 Counterdiagonal/nonpositive tail dependence in Vine copula constructions: application to portfolio management
by Yuri Salazar Flores & Adán Díaz-Hernández - 409-436 Estimating drift parameters in a non-ergodic Gaussian Vasicek-type model
by Khalifa Es-Sebaiy & Mohammed Es.Sebaiy - 437-459 Improved wrong-model inference for generalized linear models for binary responses in the presence of link misspecification
by Xianzheng Huang - 461-475 Semiparametric model for regression analysis with nonmonotone missing data
by Yang Zhao - 477-514 Asymptotic properties of QMLE for seasonal threshold GARCH model with periodic coefficients
by Abdelouahab Bibi - 515-542 On CUSUM test for dynamic panel models
by Minyoung Jo & Sangyeol Lee - 543-571 A spatial mixed-effects regression model for electoral data
by Agnese Maria Di Brisco & Sonia Migliorati - 573-604 Bayesian isotonic logistic regression via constrained splines: an application to estimating the serve advantage in professional tennis
by Silvia Montagna & Vanessa Orani & Raffaele Argiento - 605-635 Yule–Simpson’s paradox: the probabilistic versus the empirical conundrum
by Aris Spanos - 637-663 Efficacy and toxicity monitoring via Bayesian predictive probabilities in phase II clinical trials
by Valeria Sambucini - 665-688 Financial contagion through space-time point processes
by Giada Adelfio & Arianna Agosto & Marcello Chiodi & Paolo Giudici - 689-709 On the predictive performance of a non-optimal action in hypothesis testing
by Fulvio De Santis & Stefania Gubbiotti - 711-746 Weighted likelihood latent class linear regression
by Luca Greco & Antonio Lucadamo & Claudio Agostinelli - 747-765 A Bayesian approach for zero-modified Skellam model with Hamiltonian MCMC
by Katiane S. Conceição & Adriano K. Suzuki & Marinho G. Andrade
March 2021, Volume 30, Issue 1
- 1-48 Penalised robust estimators for sparse and high-dimensional linear models
by Umberto Amato & Anestis Antoniadis & Italia De Feis & Irene Gijbels - 49-77 Improving reproducibility probability estimation and preserving RP-testing
by Lucio De Capitani & Daniele De Martini - 79-108 Small area estimation under a measurement error bivariate Fay–Herriot model
by Jan Pablo Burgard & María Dolores Esteban & Domingo Morales & Agustín Pérez - 109-137 An empirical study on the parsimony and descriptive power of TARMA models
by Greta Goracci - 139-155 A new time-varying model for forecasting long-memory series
by Luisa Bisaglia & Matteo Grigoletto - 157-173 Regression models for exceedance data: a new approach
by Marcelo Bourguignon & Fernando Ferraz Nascimento - 175-194 Bayesian analysis of ranking data with the Extended Plackett–Luce model
by Cristina Mollica & Luca Tardella - 195-222 Small area estimation under a temporal bivariate area-level linear mixed model with independent time effects
by Roberto Benavent & Domingo Morales - 223-233 Bayesian optimal designs for multi-factor nonlinear models
by Lei He - 235-268 Covariance matrix estimation of the maximum likelihood estimator in multivariate clusterwise linear regression
by Giuliano Galimberti & Lorenzo Nuzzi & Gabriele Soffritti - 269-293 Interaction among three substitute products: an extended innovation diffusion model
by Claudia Furlan & Cinzia Mortarino & Mohammad Salim Zahangir - 295-315 Symbolic interval-valued data analysis for time series based on auto-interval-regressive models
by Liang-Ching Lin & Hsiang-Lin Chien & Sangyeol Lee - 317-330 A note on simultaneous calibrated prediction intervals for time series
by Giovanni Fonseca & Federica Giummolè & Paolo Vidoni - 331-357 Outlier robust small domain estimation via bias correction and robust bootstrapping
by G. Bertarelli & R. Chambers & N. Salvati - 359-373 Can Bayesian, confidence distribution and frequentist inference agree?
by Erlis Ruli & Laura Ventura
December 2020, Volume 29, Issue 4
- 669-708 An alternative semiparametric model for spatial panel data
by Román Mínguez & Roberto Basile & María Durbán - 709-725 Nearest neighbors estimation for long memory functional data
by Lihong Wang - 727-744 Statistical and probabilistic analysis of interarrival and waiting times of Internet2 anomalies
by Piotr Kokoszka & Hieu Nguyen & Haonan Wang & Liuqing Yang - 745-765 PC priors for residual correlation parameters in one-factor mixed models
by Massimo Ventrucci & Daniela Cocchi & Gemma Burgazzi & Alex Laini - 767-786 Context-specific independencies in hierarchical multinomial marginal models
by Federica Nicolussi & Manuela Cazzaro - 787-812 Monitoring rare categories in sentiment and opinion analysis: a Milan mega event on Twitter platform
by Anna Calissano & Simone Vantini & Marika Arena - 813-843 A general piecewise multi-state survival model: application to breast cancer
by Juan Eloy Ruiz-Castro & Mariangela Zenga - 845-869 Modified LASSO estimators for time series regression models with dependent disturbances
by Yujie Xue & Masanobu Taniguchi - 871-897 A copula-based method of classifying individuals into binary disease categories using dependent biomarkers
by Shofiqul Islam & Sonia Anand & Jemila Hamid & Lehana Thabane & Joseph Beyene - 899-912 A weighted $$\chi ^2$$ χ 2 test to detect the presence of a major change point in non-stationary Markov chains
by Alessandra Micheletti & Giacomo Aletti & Giulia Ferrandi & Danilo Bertoni & Daniele Cavicchioli & Roberto Pretolani - 913-936 Regression for compositions based on a generalization of the Dirichlet distribution
by Monique Graf - 937-954 Sliced inverse median difference regression
by Stephen Babos & Andreas Artemiou - 955-982 Multivariate power series interpoint distances
by Reza Modarres & Yu Song
September 2020, Volume 29, Issue 3
- 427-446 Influence function-based empirical likelihood and generalized confidence intervals for the Lorenz curve
by Yuyin Shi & Bing Liu & Gengsheng Qin - 447-482 On firm size distribution: statistical models, mechanisms, and empirical evidence
by Anna Maria Fiori - 483-514 A Monte Carlo subsampling method for estimating the distribution of signal-to-noise ratio statistics in nonparametric time series regression models
by Francesco Giordano & Pietro Coretto - 515-525 Exact confidence limits for proportion difference in clinical trials with bilateral outcome
by Guogen Shan - 527-552 A generalized mixture integer-valued GARCH model
by Huiyu Mao & Fukang Zhu & Yan Cui - 553-580 Variable selection techniques after multiple imputation in high-dimensional data
by Faisal Maqbool Zahid & Shahla Faisal & Christian Heumann - 581-596 Combining permutation tests to rank systemically important banks
by Lorenzo Frattarolo & Francesca Parpinel & Claudio Pizzi - 597-617 Beliefs and needs of academic teachers: a latent class analysis
by Silvia Bacci & Bruno Bertaccini & Alessandra Petrucci - 619-649 Identifying atypically expressed chromosome regions using RNA-Seq data
by Vinícius Diniz Mayrink & Flávio B. Gonçalves - 651-668 Distributions of powers of the central beta matrix variates and applications
by Thu Pham-Gia & Duong Thanh Phong & Dinh Ngoc Thanh
June 2020, Volume 29, Issue 2
- 211-236 One or more rates of ageing? The extended gamma-Gompertz model (EGG)
by Giambattista Salinari & Gustavo De Santis - 237-263 What finite-additivity can add to decision theory
by Mark J. Schervish & Teddy Seidenfeld & Rafael B. Stern & Joseph B. Kadane - 265-288 Planning step-stress test plans under Type-I hybrid censoring for the log-location-scale distribution
by Chien-Tai Lin & Cheng-Chieh Chou & N. Balakrishnan - 289-307 Testing the equality of matrix distributions
by Lingzhe Guo & Reza Modarres - 309-333 Loss-based approach to two-piece location-scale distributions with applications to dependent data
by Fabrizio Leisen & Luca Rossini & Cristiano Villa