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FITTING THE LONG TERM BIVARIATE DISTRIBUTION OF WAVE HEIGHTS AND PERIODS TO A THEORETICAL MODEL

机译:拟合波浪高度的长期双变量分布和期间到理论模型

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The sea state severity is commonly presented in form of bivariate histograms of significant wave height and the mean zero-upcrossing wave period. Since there is no known theoretical basis for choosing any particular distribution, various statistical models have been proposed to characterise the bivariate distribution of these parameters. The adequacy of a statistical model requires some test to evaluate the goodness-of-fit of the model to the sample data. A two-dimensional version of the classical Kolmogorov-Smirnov test, which is distribution-free for practical purposes is described in this paper. This method is illustrated by fitting the empirical distribution of significant wave heights and average zero-upcrossing periods of wave data measured in the Norwegian continental shelf to the Plackett model.
机译:海态严重程度通常以显着波高的直方图和平均零上升波周期的相成型直方图形式呈现。由于没有用于选择任何特定分布的已知的理论基础,因此已经提出了各种统计模型来表征这些参数的双变量分布。统计模型的充分性需要一些测试来评估模型的拟合的优度。本文描述了一种用于实际目的的自由分布的经典Kolmogorov-Smirnov测试的二维版本。通过拟合在挪威大陆架中测量的虚拟波高度的经验分布和平均零上升期的波浪数据到Plackett模型来说明该方法。

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