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首页> 外文期刊>Multivariate behavioral research >Estimation of the Coefficient of Variation with Minimum Risk: A Sequential Method for Minimizing Sampling Error and Study Cost
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Estimation of the Coefficient of Variation with Minimum Risk: A Sequential Method for Minimizing Sampling Error and Study Cost

机译:具有最小风险的变异系数估计:一种最小化抽样误差和研究成本的顺序方法

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摘要

The coefficient of variation is an effect size measure with many potential uses in psychology and related disciplines. We propose a general theory for a sequential estimation of the population coefficient of variation that considers both the sampling error and the study cost, importantly without specific distributional assumptions. Fixed sample size planning methods, commonly used in psychology and related fields, cannot simultaneously minimize both the sampling error and the study cost. The sequential procedure we develop is the first sequential sampling procedure developed for estimating the coefficient of variation. We first present a method of planning a pilot sample size after the research goals are specified by the researcher. Then, after collecting a sample size as large as the estimated pilot sample size, a check is performed to assess whether the conditions necessary to stop the data collection have been satisfied. If not an additional observation is collected and the check is performed again. This process continues, sequentially, until a stopping rule involving a risk function is satisfied. Our method ensures that the sampling error and the study costs are considered simultaneously so that the cost is not higher than necessary for the tolerable sampling error. We also demonstrate a variety of properties of the distribution of the final sample size for five different distributions under a variety of conditions with a Monte Carlo simulation study. In addition, we provide freely available functions via the MBESS package in R to implement the methods discussed.
机译:变异系数是一种效应大小的量度,在心理学和相关学科中有许多潜在用途。我们提出了一种总体理论,用于顺序估计总体变异系数,该理论同时考虑了抽样误差和研究成本,重要的是没有特定的分布假设。心理学和相关领域中常用的固定样本量计划方法无法同时将抽样误差和研究成本最小化。我们开发的顺序程序是为估计变异系数而开发的第一个顺序采样程序。在研究人员指定研究目标之后,我们首先提出一种规划试点样本大小的方法。然后,在收集了与估计的导频样本大小相同的样本大小之后,执行检查以评估是否已满足停止数据收集所需的条件。如果没有,将收集其他观察结果并再次执行检查。该过程顺序地继续进行,直到满足涉及风险函数的停止规则为止。我们的方法确保同时考虑采样误差和研究成本,以使成本不高于可容忍的采样误差所需的成本。我们还通过蒙特卡洛模拟研究证明了在各种条件下,五种不同分布的最终样本量分布的各种特性。此外,我们通过R中的MBESS软件包提供了免费可用的功能,以实现所讨论的方法。

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