Advertisement

Preview

Unable to display preview. Download preview PDF.

Unable to display preview. Download preview PDF.

References

  1. 1.
    Abdel-Hamid, A.R., J.A.Bather and G.B.Trustrum (1982): The secretary problem with an unknown number of candidates. J. Appl. Probab. 19, 619–630MathSciNetzbMATHCrossRefGoogle Scholar
  2. 2.
    Abel, U., J.Berger und E.Weber (1984): MARKERTEST–Statistische Verfahren und Programme zur Validierung biologischer Marker. EDVM 15, 117–125Google Scholar
  3. 3.
    Abels, H. und H. Degen (1981): Handbuch des statistischen Schaubilds. Konstruktion, Interpretation und Manipulation von graphischen Darstellungen. (Vlg. Neue Wirtschaftsbriefe; 312 S.) Herne/BerlinGoogle Scholar
  4. 4.
    Abraham, B. and J. Ledolter (1983): Statistical Methods for Forecasting. (Wiley; pp.445) Chichester and New YorkzbMATHCrossRefGoogle Scholar
  5. 5.
    Ackermann, H. and K Abt (1984): Designing the sample size for non-parametric, multivariate tolerance regions. BIJL 26, 723–734MathSciNetGoogle Scholar
  6. 6.
    Adena, M. A. and S.R. Wilson (1982): Generalised Linear Models in Epidemiological Research: Case-Control-Studies. (INTSTAT; pp. 165 ) Forestville, NSW 2087, Australia.Google Scholar
  7. 7.
    Ader, H.J., D.J.Kuik, E. Opperdoes and B. F. Schriever (1985): The use of conversational packages in Statistical Computing. SSNL 11, 106–116Google Scholar
  8. 8.
    Afifi, A. and Virginia A. Clark (1984): Computer-Aided Multivariate Analysis. (Lifetime Learning Publications pp. 458 ) Belmont, Calif. 94002Google Scholar
  9. 9.
    Agresti, A. (1981): Measures of nominal-ordinal association. JASA 76, 524–529zbMATHGoogle Scholar
  10. 10.
    Agresti, A. (1983): A survey of strategies for modeling crossclassifications having ordinal variables. JASA 78, 184–198MathSciNetzbMATHGoogle Scholar
  11. 11.
    Agresti, A. (1984): Analysis of Ordinal Categorical Data. (Wiley; pp.287) New YorkzbMATHGoogle Scholar
  12. 12.
    Ahrens, H. und J.Läuter (1981): Mehrdimensionale Varianzanalyse. Hypothesenprüfung, Dimensionserniedrigung, Diskrimination bei multivariable Beobachtungen. 2. erw. Aufl. (Akademie-Vlg.; 238 S.) BerlinGoogle Scholar
  13. 13.
    Aldrich, J.H. and F.D.Nelson (1985): Linear Probability, Logit and Probit Models. (Sage Publ. Series 07–045; pp. 94) Beverly Hills and LondonGoogle Scholar
  14. 14.
    Alfers, D. and H. Dinges (1984): A normal approximation for beta and gamma tail probabilities. Z. Wahrscheinlichkeitstheorie verw. Gebiete 65, 399–420MathSciNetzbMATHCrossRefGoogle Scholar
  15. 15.
    Allen, D.M. and F.B.Cady (1982): Analyzing Experimental Data by Regression. (Lifetime Learning Publ.; pp. 394 ) Belmont, Calif.zbMATHGoogle Scholar
  16. 16.
    Allison, P.D. (1980): Analysing collapsed contingency tables without actually collapsing. American Sociological Review 45, 123–130CrossRefGoogle Scholar
  17. 17.
    Andersen, E.B. (1982): Latent structure analysis: a survey. Scand. J. Statist. 9, 1–12MathSciNetzbMATHGoogle Scholar
  18. 18.
    Anderson, J.A. (1984): Regression and ordered categorical variables. With discussion. JRSS B 46, 1–30zbMATHGoogle Scholar
  19. 19.
    Anderson, O., W.Popp, M.Schaffranek, D.Steinmetz und H.Stenger (1976): Schätzen und Testen. Eine Einführung in die Wahrscheinlichkeitsrechnung und schließende Statistik. (Heidelberger TB, Bd. 177) (Springer; 385 S.) Berlin, Heidelberg, New YorkGoogle Scholar
  20. 20.
    Anderson, O., M. Schaffranek, H. Stenger und K. Szameitat (1983): Bevölkerungs- und Wirtschaftsstatistik. Aufgaben, Probleme und beschreibende Methoden. (Heidelberger TB, Bd. 223) (Springer; 444 S.) Berlin, Heidelberg, New YorkGoogle Scholar
  21. 21.
    Anderson, Sharon, Ariane Auquier, W. W.Hauck, D.Oakes, W.Vandaele and H.I. Weisberg (A.S.Bryk and J.Kleinman) (1980): Statistical Methods for Comparative Studies. Techniques for Bias Reduction. (Wiley; pp.289) New YorkGoogle Scholar
  22. 22.
    Anderson, T.W. (1984): An Introduction to Multivariate Statistical Analysis. 2nd ed. (Wiley; pp.675) New YorkzbMATHGoogle Scholar
  23. 23.
    Andrews, H.P., RD.Snee and Margaret H. Sarner (1980): Graphical display of means. AMST 34, 195–199Google Scholar
  24. 24.
    Anscombe, F. J. (1981): Computing in Statistical Science through APL. (Springer; pp. 426 ) New York, HeidelbergzbMATHCrossRefGoogle Scholar
  25. 25.
    Anscombe, F.J. (1982): How much to look at the data. Utilitas Mathematica 21A, 23–28Google Scholar
  26. 26.
    Appelrath, H.-J. (1985): Die Erweiterung von DB- und IR-Systemen zu wissensbasierten Systemen. Nachrichten für Dokumentation 36, 13–21 [vgl. auch S.2–12 und 33–37]Google Scholar
  27. 27.
    Armenian, H. K. and A. M. Lilienfeld (1983): Incubation period of disease. Epidemiologie Reviews 5, 1–15Google Scholar
  28. 28.
    Armitage, P. (1985): The search for optimality in clinical trials. With discussion. INTR 53, 15–36MathSciNetzbMATHGoogle Scholar
  29. 29.
    Armstrong, J. S. and E. J. Lusk (1983): Commentary on the Makridakis time series competition. The Accuracy of alternative extrapolation models: Analysis of a forecasting competition through open peer review. Journal of Forecasting 2, 259–311CrossRefGoogle Scholar
  30. 30.
    Arnold, B.C. (1983): Pareto Distributions. (International Co-operative Publ. House; pp. 326 ) Burtonsville, MDzbMATHGoogle Scholar
  31. 31.
    Arnold, S.F. (1981): The Theory of Linear Models and Multivariate Analysis. (Wiley-Interscience; pp. 475) New YorkGoogle Scholar
  32. 32.
    Ascher, H. and H.Feingold (1984): Repairable Systems Reliability: Modeling, Inference, Misconceptions and Their Causes. (M.Dekker; pp. 232) New YorkzbMATHGoogle Scholar
  33. 33.
    Atkinson, A.C. (1982): Developments in the design of experiments. INTR 50, 16–177Google Scholar
  34. 34.
    Atkinson, A.C. (1985): Plots, Transformations, and Regression. An Introduction to Graphical Methods o Diagnostic Regression Analysis. (Oxford University Press; pp. 292) OxfordGoogle Scholar
  35. 35.
    Atkinson, A.C. and S.E.Fienberg (Eds.; 1985 ): A Celebration of Statistics. The ISI Centenary Volume. A Volume to Celebrate the Founding of the International Statistical Institute in 1985. (Springer; pp.606), New YorkGoogle Scholar
  36. 36.
    Backstrom, Ch.H. and G. Hursh-Cesar (1981): Survey Research. 2nd ed. (Wiley; pp.436) New YorkGoogle Scholar
  37. 37.
    Bähr, J. (1983): Bevölkerungsgeographie. Verteilung und Dynamik der Bevölkerung in globaler, nationaler und regionaler Sicht. (UTB 1249) (E. Ulmer; 427 S.) StuttgartGoogle Scholar
  38. 38.
    Bailey, B.J.R. (1977): Tables of the Bonferroni t-statistic. JASA 72, 469–478zbMATHGoogle Scholar
  39. 39.
    Bailey, B. J. R. (1981): Alternatives to Hastings’ approximation to the inverse of the normal cumulative distribution function. APST 30, 275–276Google Scholar
  40. 40.
    Bailey, RA. (1985): Restricted randomization versus blocking. INTR 53, 171–182Google Scholar
  41. 41.
    Bain, L.J. and M.Engelhardt (1983): A review of model selection procedures relevant to the Weibull distribution. CSTH 12, 589–609zbMATHGoogle Scholar
  42. 42.
    Baker, F. B. (1981): Log-linear, logit-linear models: a didactic. EDUC 6, 75–102Google Scholar
  43. 43.
    Bamberg, G. und F.Baur (1984): Statistik. 3. überarb. Aufl. (Oldenbourg; 334 S.) München (4. Aufl. 1985 )Google Scholar
  44. 44.
    Barcikowski, R S. and R.R.Robey (1984): Decisions in single group repeated measures analysis: Statistical tests and three Computer packages. AMST 38, 148–150Google Scholar
  45. 45.
    Barel, M. und B.Jobes (1983): Untersuchungen an Generatoren für gleichverteilte Zufallszahlen. Angewandte Informatik 25, 404–409Google Scholar
  46. 46.
    Barlow, R. E. and N. D. Singpurwalla (1985): Assessing the reliability of Computer Software and Computer networks: an opportunity for partnership with Computer scientists. AMST 39, 88–94Google Scholar
  47. 47.
    Barnett, V. (Ed.; 1981 ): Interpreting Multivariate Data. (Conf. Proc.; Sheffield, UK; March 1980) (Wiley; pp.374) New YorkzbMATHGoogle Scholar
  48. 48.
    Barnett, V. (1982): Comparative Statistical Inference. 2nd ed. (Wiley; pp. 325) London and New YorkzbMATHGoogle Scholar
  49. 49.
    Barnett, V. and T.Lewis (1978): Outliers in Statistical Data. (Wiley; pp. 384) New York [2nd ed., pp. 478,1985]zbMATHGoogle Scholar
  50. 50.
    Bartholomew, D. J. (1982): Stochastic Models for Social Processes. 3rd ed. (Wiley; pp.384) New YorkzbMATHGoogle Scholar
  51. 51.
    Bartholomew, D.J. (1983): Some recent developments in social statistics. INTR 51, 1–9MathSciNetzbMATHGoogle Scholar
  52. 52.
    Basar, T. and G.J.Olsder (1982): Dynamic Noncooperative Game Theory. (Academic Press; pp. 480) LondonzbMATHGoogle Scholar
  53. 53.
    Basawa, I. V. and B. L. S. P. Rao (1980): Statistical Inference for Stochastic Processes. (Academic Press; pp.438) LondonzbMATHGoogle Scholar
  54. 54.
    Basilevsky, A. (1983): Applied Matrix Algebra in the Statistical Sciences. (North-Holland pp.389) New YorkzbMATHGoogle Scholar
  55. 55.
    Bather, J. A. (1985): On the allocation of treatments in sequential medical trials. With discussion. INTR 53,1–13 and 25–36Google Scholar
  56. 56.
    Batschelet, E. (1980): Einführung in die Mathematik für Biologen. (Springer; 557 S.) HeidelbergzbMATHCrossRefGoogle Scholar
  57. 57.
    Batschelet, E. (1981): Circular Statistics in Biology. (Academic Press; pp.388) LondonzbMATHGoogle Scholar
  58. 58.
    Bauer, P. and P. Hackl (1978): Inference on trends in several Poisson or binomial populations. BIJL 20, 64–654Google Scholar
  59. 59.
    Bauer, P. and P. Hackl (1985): The application of Hunter’s inequality in simultaneous testing. BIJL 27, 25–38Google Scholar
  60. 60.
    Bauer, P. and M.Schemper (1984): Tests of intraclass dependence for qualitative variables. EDVM 15, 114–117Google Scholar
  61. 61.
    Bayer, R, K.Elhardt, W.Kiessling und D.Killar (1984): Verteilte Datenbanksysteme. Informatik-Spektrum 7, 1–19Google Scholar
  62. 62.
    Bayne, C. K., J. J. Beauchamp, V. E. Kane and G. P. Mccabe (1983): Assessment of Fisher and logistic linear and quadratic discrimination models. COMP 1, 257–273Google Scholar
  63. 63.
    Bean, S.J. and C.P.Tsokos (1980): Developments in nonparametric density estimation. I N T R 48, 267–287MathSciNetzbMATHGoogle Scholar
  64. 64.
    Beard, R.E., T. Pentikäinen and E.Pesonen (1984): Risk Theory. The Stochastic Basis of Insurance. 3rd ed. (Chapman and Hall; pp.408) LondonGoogle Scholar
  65. 65.
    Beasley, J.D. and S.G.Springer (1977): The percentage points of the normal distribution. APST 26, 118–121Google Scholar
  66. 66.
    Beaumont, G.P. (1980): Intermediate Mathematical Statistics. (Chapman and Hall; pp. 248) LondonzbMATHCrossRefGoogle Scholar
  67. 67.
    Bechhofer, R.E. and C.W.Dunnett (1982): Multiple comparisons for orthogonal contrasts: examples and tables. TECS 24, 213–222zbMATHGoogle Scholar
  68. 68.
    Bechhofer, R.E. and A.C.Tamhane (1983): Design of experiments for comparing treatments with a control: tables of optimal allocations of observations. TECS 25, 87–95zbMATHGoogle Scholar
  69. 69.
    Becker, R. A. and J. M. Chambers (1984): S An Interactive Environment for Data Analysis and Graphics. (Wadsworth; pp. 550 ) Belmont, Calif.Google Scholar
  70. 70.
    Becker, R.A. and J.M.Chambers (1984): Extending the S System. (Wadsworth; pp. 144 ) Belmont, Calif.Google Scholar
  71. 71.
    Beckman, R. J. and R. D. Cook (1983): Outlier….. s. With discussion and response. TECS 25, 119–163MathSciNetzbMATHGoogle Scholar
  72. 72.
    Beckman, R.J. and G.L.Tietjen (1973): Upper 10% and 25% points of the maximum F ratio. BIKA 60, 213–214MathSciNetGoogle Scholar
  73. 73.
    Begun, J.M. and K.R. Gabriel (1981): Closure of the Newman-Keuls multiple comparisons procedure. JASA 76, 241-245 [and 78, (1983), 949-957]Google Scholar
  74. 74.
    Beirlant, J., E.J.Dudewicz and E.C.Van der Meulen (1982): Complete Statistical ranking of populations, with tables and applications. Journal of Computational and Applied Mathematics (Belgien) 8, 187–201Google Scholar
  75. 75.
    Belsley, D.A., E.Kuh and R.E. Welsch (1980): Regression Diagnostics: Identifying Influential Data and Sources of Collinearity. (Wiley; pp. 292) New YorkzbMATHCrossRefGoogle Scholar
  76. 76.
    Bender, R, Susanne Röder und A.Nack (1981): Tatsachenfeststellung vor Gericht. Bd. I und II. (Beck; 241 S. und 198 S.) MünchenGoogle Scholar
  77. 77.
    Bennett, B.M. (1978): On a test for equality of dependent correlation coefficients. Statistische Hefte 19, 71–76zbMATHCrossRefGoogle Scholar
  78. 78.
    Bennett, B.M. (1982): On generalized indizes of diagnostic efficiency. BIJL 24, 59–62zbMATHGoogle Scholar
  79. 79.
    Bennett, B.M. (1983): Further results in indices for diagnostic Screening II. BIJL 25, 453–457Google Scholar
  80. 80.
    Bennett, B.M. (1984): Unconditional tests of hypotheses concerning relative risk. BIJL 26, 765–769Google Scholar
  81. 81.
    Benninghaus, H. (1982): Deskriptive Statistik. 4. Aufl. (Teubner; 280 S.) StuttgartGoogle Scholar
  82. 82.
    Berenson, M.L. (1982): A comparison of several k sample tests for ordered alternatives in completely randomized designs. PYKA 47, 265–280 and 535–539Google Scholar
  83. 83.
    Berenson, M.L., D.M.Levine and M.Goldstein (1983): Intermediate Statistical Methods and Applications. A Computer Package Approach. (Prentice-Hall; pp.579) Englewood CliffsGoogle Scholar
  84. 84.
    Berg, G.G. and H.D.Maillie (Eds.; 1981 ): Measurement of Risks. (Plenum Press; pp. 560) New YorkGoogle Scholar
  85. 85.
    Berg, L. (1985): Numerical results on growth functions. BIJL 27, 565–580zbMATHGoogle Scholar
  86. 86.
    Berger, J. und K.H.Höhne (Hrsg.; 1983 ): Methoden der Statistik und Informatik in Epidemiologie und Diagnostik. (Mediz. Informatik und Statistik, Bd.40) (Springer; 451 S.) Berlin, Heidelberg, New YorkGoogle Scholar
  87. 87.
    Berger, J.O. (1980): Statistical Decision Theory, Foundations, Concepts and Methods. (Springer; pp.425) New York, Heidelberg, Berlin [2nd ed., pp.617,1985]zbMATHGoogle Scholar
  88. 88.
    Bergman, S.W. and J.C.Gittins (1985): Statistical Methods for Pharmaceutical Research Planning. (M.Dekker; pp.272) New YorkzbMATHGoogle Scholar
  89. 89.
    Berlekamp, E.R., J.H.Conway and R.K.Guy (1982): Winning Ways. Vol. l: Games in General, Vol.2: Games in Particular. (Academic Press; pp. 472 and 480) New YorkGoogle Scholar
  90. 90.
    Bertin, J. (1982): Graphische Darstellungen und die graphische Weiterverarbeitung der Information. Übers, und bearb. v. W. Scharfe (de Gruyter; 275 S.) Berlin und New YorkGoogle Scholar
  91. 91.
    Beth, T. (Ed.; 1983 ): Cryptography. (Lect. Notes in Comp. Sei., Vol. 149) (Springer; pp. 402 ) Berlin, Heidelberg, New YorkGoogle Scholar
  92. 92.
    Beth, T., P.Hess und K.Wirl (1983): Kryptographie. Eine Einführung in die Methoden und Verfahren der geheimen Nachrichtenübermittlung. (Teubner; 205 S.) StuttgartGoogle Scholar
  93. 93.
    Beutel, P. und W.Schubö (1983): SPSS 9 - Statistik-Programm-System für die Sozialwissenschaften. Eine Beschreibung der Programmversionen 8 und 9 nach N.H.Nie und C.H.Hull. 4.Aufl. (G.Fischer; 323 S.) Stuttgart, New YorkGoogle Scholar
  94. 94.
    Bhapkar, V.P. and A.P.Gore (1973): A distribution-free test for symmetry in hierarchical data. Journal of Multivariate Analysis 3, 483–489MathSciNetzbMATHCrossRefGoogle Scholar
  95. 95.
    Bhoj, D. S. (1984): On testing equality of variances of correlated variates with incomplete data. BIKA 71, 639–641MathSciNetGoogle Scholar
  96. 96.
    Biefang, S., W.Köpcke and M.A. Schreiber (1983): Manual for the Planning and Implementation of Therapeutic Studies. (Lecture Notes in Medical Informatics, Vol. 20) (Springer; pp. 100 ) New York, Heidelberg, BerlinGoogle Scholar
  97. 97.
    Billard, L. (Ed.; 1985 ): Computer Science and Statistics. (Proc. 16th Symp. on the Interface, Atlanta, GA, USA March 1984) (North-Holland 1970 pp.296) New York and AmsterdamzbMATHGoogle Scholar
  98. 98.
    Billeter-Frey, E.P. und V. Vlach (1982): Grundlagen der statistischen Methodenlehre. (UTB 1163) (G.Fischer; 429 S.) StuttgartzbMATHGoogle Scholar
  99. 99.
    Billinton, R. and R.N.Allan (1983): Reliability Evaluation of Engineering Systems. Concepts and Techniques. (Plenum Publ. Corp.; pp. 349) New YorkGoogle Scholar
  100. 100.
    Birch, J.B. (1983): On the power of robust tests in analysis of covariance. CSSM 12, 159–182zbMATHGoogle Scholar
  101. 101.
    Birnbaum, I. (1981): An Introduction to Causal Analysis in Sociology. (Macmillan; pp. 167) LondonGoogle Scholar
  102. 102.
    Bishop, T. A. (1979): Some results on simultaneous inference for analysis of variance with unequal variances. TECS 21, 337–340zbMATHGoogle Scholar
  103. 103.
    Bischop, Yvonne M. M., S. E. Fienberg and P. W. Holland (Light, R. J. and F.Mosteller) (1978): Discrete Multivariate Analysis: Theory and Practice. (MIT Press; pp. 557 ) Cambridge, Mass.Google Scholar
  104. 104.
    Blaser, A. und P.Pistor (Hrsg.; 1985 ): Datenbanksysteme für Büro, Technik und Wissenschaft. Gl-Fachtagung, Karlsruhe 20.–22. März 1985. (Informatik-Fachberichte, Bd.94) (Springer; 519 S.). Berlin, Heidelberg, New York, TokyoGoogle Scholar
  105. 105.
    Blyth, C.R. and H.A.Still (1983): Binomial confidence intervals. JASA 78, 108–116MathSciNetzbMATHGoogle Scholar
  106. 106.
    Boardman, T.J. (1982): The future of Statistical Computing on desktop Computers. AMST 36, 49–58Google Scholar
  107. 107.
    Boardman, T.J. and M.C.Bryson (1978): A review of some smoothing and forecasting techniques. JQTE 10, 1–11Google Scholar
  108. 108.
    Bock, H.-H. (1980): Clusteranalyse - Überblick und neuere Entwicklungen. OR Spektrum 1, 211–232zbMATHCrossRefGoogle Scholar
  109. 109.
    Bock, H.-H. (1984): Explorative Datenanalyse - eine Übersicht. ASTA 68, 2013–40Google Scholar
  110. 110.
    Boettcher, W., W.Herrlitz, E.Nündel und B.Switalla (1983): Sprache: Das Buch, das alles über Sprache sagt. (Westermann; 368 S.) BraunschweigGoogle Scholar
  111. 111.
    Bofinger, Eve (1985): Multiple comparisons and type III errors. JASA 80, 45–-437MathSciNetGoogle Scholar
  112. 112.
    Boissel, J.P. and C.R. Klimt (Eds.; 1979 ): Multi-Center Controlled Trials. (Inst. Nat. Sante Rech. Med.; pp.274) ParisGoogle Scholar
  113. 113.
    Boivin, J.-F. and S.Wacholder (1985): Conditions for confounding o the risk ratio and of the odds ratio. AMEP 121, 152–158Google Scholar
  114. 114.
    Bollinger, G., A.Herrmann und V.Möntmann (1982): BMDP. Statistikprogramme für die Bio-, Human- und Sozialwissenschaften; nach W. J. Dixon... und J. D. Toporek. Eine Beschreibung der Programmversionen 77–81. (G.Fischer; 431 S.) StuttgartGoogle Scholar
  115. 115.
    Bonett, D. G. and P. M. Bentler (1983): Goodness-of-fit procedures for the evaluation and selection of log-linear models. PYBU 93, 149–166Google Scholar
  116. 116.
    Boomsma, A. (1977): Comparing approximations of confidence intervals for the product-moment correlation coefficient. STNE 31, 179–185Google Scholar
  117. 117.
    Bortz, J. (1984): Lehrbuch der empirischen Forschung. Für Sozial Wissenschaftler. (Springer; 649 S.) Berlin, Heidelberg, New York, Tokyo [2. Aufl., 898 S., 1985 ]Google Scholar
  118. 118.
    Bosch, K. (1982): Elementare Einführung in die Wahrscheinlichkeitsrechnung. Mit 82 Beispielen und 73 Übungsaufgaben mit vollständigem Lösungsweg. 3. durchges. Aufl. (Vieweg; 192 S.) BraunschweigGoogle Scholar
  119. 119.
    Bowman, K.O. and L.R.Shenton (1982): Properties of estimators for the gamma distribution. CSSM 11, 377–519zbMATHGoogle Scholar
  120. 120.
    Box, G.E.P. (1982): Choice of response surface design and alphabetic optimality. Utilitas Mathematica 21B, 11–55MathSciNetGoogle Scholar
  121. 121.
    Box, G.E.P., W.G.Hunter and J.S.Hunter (1978): Statistics for Experimenters. An Introduction to Design, Data Analysis, and Model Building. (Wiley; pp.653) New YorkGoogle Scholar
  122. 122.
    Box, G.E.P. and G.M.Jenkins (1976): Time Series Analysis: forecasting and control. Rev. ed. (Holden-Day; pp.575) San Francisco and LondonzbMATHGoogle Scholar
  123. 123.
    Box, G.E.P, T.Leonard and C.-F.Wu (Eds.; 1983 ): Scientific Inference, Data Analysis and Robustness. Proc. Conf. Mathematics Res. Ctr. University of Wisconsin, Nov. 1981. (Academic Press; pp.320) New York and LondonzbMATHGoogle Scholar
  124. 124.
    Boyer, J. E., Jr., A. D. Palachek and W. R. Schucany (1983): An empirical study of related correlation coefficients. EDUC 8, 75–86Google Scholar
  125. 125.
    Bradburn, N.M. and S.Sudman (1980): Improving Interview Method and Questionnaire Design. (Jossey-Bass Publ.; pp.214) San FranciscoGoogle Scholar
  126. 126.
    Bradley, J. V. (1984): The complexity of nonrobustness effects. Bulletin of the Psychonomic Society 22, 250–253Google Scholar
  127. 127.
    Bradu, D. (1984): Response surface model diagnosis in two-way tables. CSTH 13, 3059–3106MathSciNetzbMATHGoogle Scholar
  128. 128.
    Brams, S.J., A.Schotter and G.Schwödiauer (Eds.; 1979 ): Applied Game Theory. (Physica-Vlg.; pp. 447 ) Würzburg, WienzbMATHGoogle Scholar
  129. 129.
    Bratley, P, B. L. Fox and L. E. Schräge (1983): A G u i d e to Simulation. (Springer; pp. 385 ) New York, Heidelberg, BerlinzbMATHGoogle Scholar
  130. 130.
    Brauer, W. (Hrsg.; 1982 ): Simulationstechnik. (Springer; 544S.) Berlin, Heidelberg, New YorkGoogle Scholar
  131. 131.
    Bredenkamp, J. (1982): Verfahren zur Ermittlung des Typs einer statistischen Wechselwirkung. PYBE 24, 56–74 und 309Google Scholar
  132. 132.
    Breiman, L., J.H.Friedman, R. A.Olshen and C.J.Stone (1984): Classification and Regression Trees. (Wadsworth; pp. 358 ) Belmont, Calif.zbMATHGoogle Scholar
  133. 133.
    Brennecke, R, E.Greiser, H.A.Paul und Elisabeth Schach (Hrsg.; 1981 ): Datenquellen für Sozialmedizin und Epidemiologie. (Mediz. Informatik und Statist., Bd.29) (Springer; 277 S. und eine Klapptafel) Berlin, Heidelberg, New YorkGoogle Scholar
  134. 134.
    Breslow, N.E. (1979): Statistical methods for censored survival data. Environmental Health Perspectives 32, 181–192CrossRefGoogle Scholar
  135. 135.
    Breslow, N.E. (1982): Design and analysis of case-control studies. Ann. Rev. Public Health 3, 29–54CrossRefGoogle Scholar
  136. 136.
    Breslow, N. E. (1984): Elementary methods of cohort analysis. International Journal of Epidemiology 13, 112–115CrossRefGoogle Scholar
  137. 137.
    Breslow, N. E. and N. E. Day (1980): Statistical Methods in Cancer Research. Vol. 1: The Analysis of Case-Control Studies. (IARC Scientific Publ. No.32, International Agency for Research on Cancer; pp.338) LyonGoogle Scholar
  138. 138.
    Breslow, N.E., J.H.Lubin, P.Marek and B.Langholz (1983): Multiplicative models and cohort analysis. JASA 78, 1–12zbMATHGoogle Scholar
  139. 139.
    Breslow, N.E. and B.E.Storer (1985): General relative risk functions for case-control studies. AMEP 122, 149–162Google Scholar
  140. 140.
    Brillinger, D.R. (Ed.; 1984 ): The Collected Works of John W.Tukey. Vol. 1 + I I: Time Series 1949/64,1965/84. (Wadsworth; pp.689 and 656 ) Belmont, Calif.Google Scholar
  141. 141.
    Brillinger, D. R. and P. R. Krishnaiah (Eds.; 1983 ): Time Series in theFrequency Domain. (Handbook of Statistics, Vol. 3) (North-Holland; pp. 482) Amsterdam and New YorkGoogle Scholar
  142. 142.
    Brittain, E., J.Schlesselman and B.V.Stadel (1981): Cost of casecontrol studies. AMEP 114, 234–243Google Scholar
  143. 143.
    Broemeling, L.D. (1985): Bayesian Analysis of Linear Models. (M.Dekker; pp.472) New YorkzbMATHGoogle Scholar
  144. 144.
    Brown, B.W., M.E.Rozell and E.Y.Webster (1983): SURVAN–A nonparametric survival analysis package. Computer Science and Statistics [Proc. 15th Symp. Interface, Houston TX; J.E.Gentie (Ed.), Publ.: North-Holland Amsterdam/New York] 87–92Google Scholar
  145. 145.
    Brown, C.C. (1983): The Statistical comparison of relative survival rates. BICS 39, 941–948Google Scholar
  146. 146.
    Brown, C.C. and S.B.Green (1982): Additional power computations for designing comparative Poisson trials. AMEP 115, 752–758Google Scholar
  147. 147.
    Brown, M.L. (1982): Robust line estimation with errors in both variables. JASA 77, 71–79zbMATHGoogle Scholar
  148. 148.
    Brown, P. J. (1982): Multivariate calibration. JRSB 44, 287–321zbMATHGoogle Scholar
  149. 149.
    Brownie, C., J.-P. Habicht and D.S.Robson (1983): An estimation procedure for the contaminated normal distributions arising in clinical chemistry. JASA 78, 228–237Google Scholar
  150. 150.
    Bruckmann, G. (Hrsg.; 1977 ): Langfristige Prognosen. Möglichkeiten und Methoden der Langfristprognostik komplexer Systeme. (Physica-Vlg.; 458 S.) WürzburgGoogle Scholar
  151. 151.
    Bruzzi, P., S.B.Green, D.P.Byar, L.A.Brinton and C.Schairer (1985): Estimating the population attributable risk for multiple risk factors using case-control data. AMEP 122, 904–914Google Scholar
  152. 152.
    Bryant, J.L. and N.T.Bruvold (1980): Multiple comparison procedures in the analysis of covariance. JASA 75, 874–880Google Scholar
  153. 153.
    Buchanan, B.G. (1982): New research on expert systems. Machine Intelligence 10, 269–299Google Scholar
  154. 154.
    Buck, W. (1980): Tests of signiflcance for point-biserial rank correlation coefficients in the presence of ties. BIJL 22, 153–158MathSciNetzbMATHGoogle Scholar
  155. 155.
    Budde, M. und M. Wargenau (1984): Analyse von Überlebensdaten in SAS und BMDP. SSNL 10, 126–135Google Scholar
  156. 156.
    Bühler, W. u. a. (Eds.; 1983 ): Operations Research Proceedings 1982. (Springer; 606 S.) Berlin, Heidelberg, New YorkzbMATHGoogle Scholar
  157. 157.
    Büning, H. (1983): Adaptive verteilungsfreie Tests. Statist. Hefte 24, 47–67zbMATHCrossRefGoogle Scholar
  158. 158.
    Bukac, I. and H. Burstein (1980): Approximations of Student’s t and chi-square percentage points. CSSM B 9, 665–672Google Scholar
  159. 159.
    Bulmer, M.G. (1985): The Mathematical Theory of Quantitative Genetics. (Oxford Univ. Press; pp.262) OxfordGoogle Scholar
  160. 160.
    Buncher, C. R. and J.-Y.Tsay (Eds.; 1981 ): Statistics in the Pharmaceutical Industry. (M.Dekker; pp.465) New York and BaselGoogle Scholar
  161. 161.
    Bundesinstitut Für Bevölkerungsforschung (Hrsg.; 1984 ): Demographische Fakten und Trends in der Bundesrepublik Deutschland. Eine Bestandsaufnahme anläßlich der Internationalen Bevölkerungskonferenz 1984 der Vereinten Nationen. Juli 1984. Zeitschrift für Bevölkerungswissenschaft 10, 295–397Google Scholar
  162. 162.
    Bundesminister Des Innern (Hrsg.; 1983 ): Die Krebssterblichkeit in der Bundesrepublik Deutschland 1970-1978. Bd.I-III. (Vlg. TÜV Rheinland; [jeweils unterschiedliche Paginierungen]) KölnGoogle Scholar
  163. 163.
    Bundesminister Für Jugend, Familie Und Gesundheit (Hrsg.; 1983 ): Daten des Gesundheitswesens. Ausgabe 1983. (Band 152) (W. Kohlhammer; 355 S.) Stuttgart, Berlin, Köln, MainzGoogle Scholar
  164. 164.
    Buyse, M. (1983): Les differentes approches conduisant a l’analyse des correspondances. Biométrie-Praximétrié 23, 1–26Google Scholar
  165. 165.
    Buzzi-Ferraris, G. and P.Forzatti (1983): A new sequential experimental design procedure for discriminating among rival models. Chemical Engineering Science 38, 225–232CrossRefGoogle Scholar
  166. 166.
    Campbell, H. (Overall Ed.; 1980 ): Manual of Mortality Analysis. (Reprint of the 1977 ed.) (W. H. O.; pp. 245) GenevaGoogle Scholar
  167. 167.
    Cannell, C.F. and L.Oksenberg (1983): New questionnaire design for reducing response errors. Bull. Int. Statist. Inst. 50, 500–511Google Scholar
  168. 168.
    Caporal, P.M. and G.J.Hahn (1984): General Software for Statistical graphics. A survey. SSNL10, 3–13Google Scholar
  169. 169.
    Cappella, J. N. (1980): Structural Equation Modeling: An Introduction. Chapter3 in P.R.Monge and J.N.Cappella (Eds.): Multivariate Techniques in Human Communication Research. (Academic Press; pp.552) New York and London, pp. 57–109Google Scholar
  170. 170.
    Carmer, S.G. and W.T.Lin (1983): Type I error rates for divisive clustering methods for grouping means in analysis of variance. CSSM 12, 451–466Google Scholar
  171. 171.
    Carpenter, T.E. (1984): Epidemiologie modeling using a microcomputer spreadsheet package. AMEP 120, 943–951Google Scholar
  172. 172.
    Carter, R.L. (1981): Restricted maximum likelihood estimation of bias and reliability in the comparison of several measuring methods. BICS 37, 733–741zbMATHGoogle Scholar
  173. 173.
    Carter, W.H., Jr., G.L.Wampler and D.M.Stablein (1983): Regression Analysis of Survival Data in Cancer Chemotherapy. (M.Dekker; pp.209) New YorkGoogle Scholar
  174. 174.
    Casella, G. (1983): Leverage and regression through the origin. AMST 37, 147–152Google Scholar
  175. 175.
    Casella, G. (1985): An introduction to empirical Bayes data analysis. AMST 39, 83–87MathSciNetGoogle Scholar
  176. 176.
    Cassel, C.-M., C.-E.Sarndal and J.H.Wretman (1977): Foundations of Inference in Survey Sampling. (Wiley; pp.192) New YorkGoogle Scholar
  177. 177.
    Catalano, R.A., D.Dooley and R. Jackson (1983): Selecting a timeseries strategy. PYBU 94, 506–523Google Scholar
  178. 178.
    Causton, D.R. and J.C.Venus (1981): The Biometry of Plant Growth. (E.Arnold; pp.307) LondonGoogle Scholar
  179. 179.
    Cellier, F.E. (Ed.; 1982 ): Progress in Modelling and Simulation. (Academic Press; pp. 466) New YorkGoogle Scholar
  180. 180.
    Chaffin, W.W. and W.K.Talley (1980): Individual stability in Delphi studies. Technological Forecasting and Social Change 16, 67–73CrossRefGoogle Scholar
  181. 181.
    Chaghaghi, F.S. (1985): Time Series Package (TSPACK). (Lecture Notes in Computer Science, Vol. 187) (Springer; pp. 305 ) Berlin, Heidelberg, New York, TokyoGoogle Scholar
  182. 182.
    Chalmers, A.F. (1978): What is this thing called Science. An Assessment of the Nature and Status of Science and its Methods. (The Open Univ. Press; pp. 157 ) Milton Keynes, EnglandGoogle Scholar
  183. 183.
    Chambers, J., W.Cleveland, B.Kleiner and P.Tukey (1983): Graphical Methods for Data Analysis. (Wadsworth; pp. 395 ) Belmont, Calif.zbMATHGoogle Scholar
  184. 184.
    Chan, M. Y., A.C.Cohen and Betty Jones Whitten (1983): The standardized inverse Gaussian distribution tables of the cumulative probability function. CSSM 12, 423–442zbMATHGoogle Scholar
  185. 185.
    Chatfield, C. (1982): Analyse von Zeitreihen. Eine Einführung. Übers, aus d. Engl. (2nd ed. 1980) durch H.Grimm. (Teubner; 239 S.) LeipzigGoogle Scholar
  186. 186.
    Chatfield, C. (1984): The Analysis of Time Series. An Introduction. 3rd ed. (Chapman & Hall; pp. 265) LondonGoogle Scholar
  187. 187.
    Chaum, D. (Ed.; 1984 ): Advances in Cryptology. Proceedings of Crypto 83. (Plenum Publ. Corp.; pp.408) New YorkzbMATHGoogle Scholar
  188. 188.
    Chen, H. J. (1979): Percentage points of multivariate t distribution with zero correlations and their application. BIJL 21, 347–359zbMATHGoogle Scholar
  189. 189.
    Chen, H. J. and A. W. Montgomery (1975): A table for interval estimation of the largest mean of Anormal populations. BIJL 17, 411–414MathSciNetzbMATHGoogle Scholar
  190. 190.
    Chen, H.J. and P.J.Tsai (1980): Optimal confidence interval for the largest mean in repeated measurements design. BIKA 67, 119–126zbMATHGoogle Scholar
  191. 191.
    Cheng, S.W. and J.C.Fu (1983): An Algorithm to obtain the critical values of the t, x 2 and F distributions. Statistics and Probability Letters (Amsterdam) 1, 223–227Google Scholar
  192. 192.
    Chervany, N.L., P.G.Benson and R.Kiyer (1980): The planning stage in Statistical reasoning. AMST 34, 222–226Google Scholar
  193. 193.
    Chiang, C.L. (1980): An Introduction to Stochastic Processes and their Applications. (R.E.Krieger Publ. Co.; pp. 517 ) Huntington, N.Y.zbMATHGoogle Scholar
  194. 194.
    Chiang, C. L. (1984): The Life Table and its Applications. (R. E. Krieger; pp. 316 ) Malabar, FloridaGoogle Scholar
  195. 195.
    Chiu, W. K. and M. P. Y. Leung (1981): A graphical method for estimating the parameters of a truncated normal distribution. JQTE 13, 42–45Google Scholar
  196. 196.
    Church, B.M. (1982): Recent developments in the Rothamsted general survey program. Utilitas Mathematica 21B, 341–353Google Scholar
  197. 197.
    Chytil, M.K. (1983): Data preprocessing and computational analysis. SSNL 9, 3–16Google Scholar
  198. 198.
    Clayson, D.B., D.Krewski and I.Munro (Eds.; 1985 ): Toxicological Risk Assessment. Vol.I and II (CRC Press; pp.272, 288) Boca Raton/Florida 33431Google Scholar
  199. 199.
    Cleary, J.P. and H. Levenbach (1982): The Professional Forecaster: The Forecasting Process Through Data Analysis. (Lifetime Learning Publ.; pp. 402 ) Belmont, Calif.Google Scholar
  200. 200.
    Cleveland, W.S. and R.Mcgill (1984): Graphical perception: theory, experimentation, and application to the development of graphical methods. JASA 79, 531 - 554MathSciNetGoogle Scholar
  201. Cleveland, W.S. and R.Mcgill (1984): Graphical perception: theory, experimentation, and application to the development of graphical methods. AMST 38 (1984), 261–280.Google Scholar
  202. Cleveland, W.S. and R.Mcgill (1984): Graphical perception: theory, experimentation, and application to the development of graphical methods. AMST 39 (1985), 238–239.Google Scholar
  203. 201.
    Cleveland, W.S. and R.Mcgill (1985): The many faces of a scatterplot. JASA 79, 807–822MathSciNetGoogle Scholar
  204. 202.
    Cleveland, W.S. and Irma J.Terpenning (1982): Graphical methods for seasonal adjustment. JASA 77, 52–62Google Scholar
  205. 203.
    Clinch, J.C. and H.J.Keselman (1982): Parametric alternatives to the analysis of variance. EDUC 7, 207–214Google Scholar
  206. 204.
    Clogg, C.C. (1982): Some models for the analysis of association in multiway cross-classifications having ordered categories. JASA 77, 803–815MathSciNetGoogle Scholar
  207. 205.
    Cochran, W.G. (MOSES, L.E. and F.Mosteller, Eds.; 1983 ): Planning and Analysis of Observational Studies. (Wiley; pp. 145) New YorkGoogle Scholar
  208. 206.
    Cody, R.P. and J.K.Smith (1985): Applied Statistics and the SAS Programming Language. (Elsevier Sei. Publ.; pp.192) Amsterdam and New YorkGoogle Scholar
  209. 207.
    Cohen, A.C. and Betty Jones Whitten (1980): Estimation in the threeparameter lognormal distribution. JASA 75, 399–404MathSciNetzbMATHGoogle Scholar
  210. 208.
    Cohen, A.C. and Betty Jones Whitten (1981): Estimation of lognormal distributions. American Journal of Mathematical and Management Sciences 1, 139–153MathSciNetzbMATHGoogle Scholar
  211. 209.
    Cohen, A.C., Betty Jones Whitten and Yihua Ding (1984): Modified moment estimation for the three-parameter Weibull distribution. JQTE 16, 159–167Google Scholar
  212. 210.
    Cohen, J. and P.Cohen (1975): Applied Multiple Regression Analysis. Correlation Analysis for the Behavioral Sciences. (Wiley; pp.490) New YorkGoogle Scholar
  213. 211.
    V.Collani, E. (1984): Optimale Wareneingangskontrolle. Das Minimax- Regret-Prinzip für Stichprobenpläne beim Ziehen ohne Zurücklegen (Teubner; 150 S.) StuttgartGoogle Scholar
  214. 212.
    Colman, A.M. (1982): Game Theory and Experimental Games. The Study of Strategie Interaction. (Pergamon Press; pp. 301 ) Oxford, New York, FrankfurtGoogle Scholar
  215. 213.
    Connell, F. A. and T. D. Koepsell (1985): Measures of gain in certainty from a diagnostic test. AMEP 121, 744–753Google Scholar
  216. 214.
    Conover, W. J. (1980): Practical Nonparametric Statistics. 2nd ed. (Wiley; pp. 51 0) LondonGoogle Scholar
  217. 215.
    Conover, W. J. and R. L. Iman (1978): Some exaet tables for the squared ranks test. CSSM B 7, 491–513Google Scholar
  218. 216.
    Conover, W.J. and R.L. Iman (1980): The rank transformation as a method of discrimination with some examples. CSTH A 9, 465–487MathSciNetGoogle Scholar
  219. 217.
    Conover, W. J. and R. L. Iman (1981): Rank transformations as a bridge between parametric and nonparametric statistics. With comments and rejoinder. AMST 35, 124–133zbMATHGoogle Scholar
  220. 218.
    Cook, Nancy R. and J.H.Ware (1983): Design and analysis methods for longitudinal research. Ann. Rev. Public Health 4, 1–23CrossRefGoogle Scholar
  221. 219.
    Cook, R. D. and S. Weisberg (1982): Residuais and Influence in Regression. (Chapman and Hall; pp. 230) London and New YorkGoogle Scholar
  222. 220.
    Cook, T.D. and D.T. Campbell (1979): Quasi-Experimentation. Design and Analysis Issues for Field Settings. (Rand McNally College Publ. Comp.; pp. 405) ChicagoGoogle Scholar
  223. 221.
    Cooper, J.C.B. (1983): Factor analysis: an overview. AMST 37, 141–147Google Scholar
  224. 222.
    Cormack, R.M. and J.K.Ord (Eds.; 1979 ): Spatial and Temporal Analysis in Ecology. (International Co-operative Publ. House; pp. 356 ) Burtonsville, MDGoogle Scholar
  225. 223.
    Cormack, R.M., G.P. Patil and D.S. Robson (Eds.; 1979 ): Sampling Biological Populations. (International Co-operative Publ. House; pp. 392 ) Burtonsville, MDGoogle Scholar
  226. 224.
    Cornell, J. A. (1981): Experiments with Mixtures: Design, Models and the Analysis of Mixture Data. (Wiley; pp.305) New YorkGoogle Scholar
  227. 225.
    Cornell, R.G. (Ed.; 1984 ): Statistical Methods for Cancer Studies. (M.Dekker; pp.496) New YorkzbMATHGoogle Scholar
  228. 226.
    Cousteau, J.-Y. (Hrsg.; 1983 ): Bestandsaufnahme eines Planeten. Cousteau-Umweltlesebuch 1. (Übers, aus d. Amerik. von Elke Martin) (Klett-Cotta; 199 S.) Stuttgart (insbes. “Die Welt in Zahlen”, S. 89/183)Google Scholar
  229. 227.
    Cox, D.R. (1970): The Analysis of Binary Data. (Methuen; pp.142) LondonGoogle Scholar
  230. 228.
    Cox, D.R. (1972): Regression models and life tables. With discussion. JRSB 34, 187–220zbMATHGoogle Scholar
  231. 229.
    Cox, D.R. (1981): Theory and general principle in statistics. JRSA 144, 289–297CrossRefGoogle Scholar
  232. 230.
    Cox, D.R. (1981): Statistical analysis of time series: some recent developments. Scandinavian Journal of Statistics 8, 93–115zbMATHGoogle Scholar
  233. 231.
    Cox, D.R. (1982): Statistical significance tests. Brit. J. clin. Pharmac. 14, 325–331Google Scholar
  234. 232.
    Cox, D. R. (1984): Interaction. With discussion. INTR 52, 1–31zbMATHGoogle Scholar
  235. 233.
    Cox, D.R. and Valerie Isham (1980): Point Processes. (Chapman and Hall; pp. 188) London and New YorkzbMATHGoogle Scholar
  236. 234.
    Cox, D.R. and D.O.Oakes (1984): Analysis of Survival Data. (Chapman and Hall; pp.201) London and New YorkGoogle Scholar
  237. 235.
    Cox, D. R. and E. J. Snell (1968): A general definition of residuals. With discussion. JRSB 30, 248–275MathSciNetGoogle Scholar
  238. 236.
    Cox, D.R. and E.J.Snell (1981): Applied Statistics. Principles and Examples. (Chapman and Hall; pp.189) London and New YorkGoogle Scholar
  239. 237.
    Cox, D. R. and E. Spjotvoll (1982): On partitioning means into groups. Scand. J. Statist. 9, 147–152MathSciNetzbMATHGoogle Scholar
  240. 238.
    Coxon, A.P.M. (1982): The User’s Guide to Multidimensional Scaling. With Special Reference to the MDS(X) Library of Computer Programs. (Heinemann Educat. Books; pp.271) LondonGoogle Scholar
  241. 239.
    Cramer, E.M. and M. Appelbaum (1980): Nonorthogonal analysis of variance - once again. PYBU 87, 51 - 57.Google Scholar
  242. Cramer, E.M. and M. Appelbaum (1980): Nonorthogonal analysis of variance - once again. PYBU 93, (1983), 609.Google Scholar
  243. 240.
    Cressie, N. A.C. (1978): Removing nonadditivity from two-way tables with one Observation per cell. BICS 34, 505–513zbMATHGoogle Scholar
  244. 241.
    Crowder, M. J. (1980): Proportional linear models. APST 29, 299–303Google Scholar
  245. 242.
    Crowley, J. and R.A.Johnson (Eds.; 1982 ): Survival Analysis. Proceedings of the Special Topics Meeting sponsored by the Institute of Mathematical Statistics, Oct. 26-28,1981, Columbus, Ohio (Institute of Mathematical Statistics; pp. 301 ) Hayward, CaliforniaGoogle Scholar
  246. 243.
    Cummins, J.D., B.D. Smith, RN.Vance and J.L.VanDerhei (1982): Risk Classification in Life Insurance. (Kluwer; pp.320) BostonGoogle Scholar
  247. 244.
    Currie, L. A. (1968): Limits for qualitative detection and quantitative determination. Application to radiochemistry. Analytical Chemistry 40, 586–593CrossRefGoogle Scholar
  248. 245.
    Cyr, J. L. and E. B. Manoukian (1982): Approximate critical values with error bounds for Bartletf s test of homogeneity of variances for unequal sample sizes. CSTH 11, 1671–1680zbMATHGoogle Scholar
  249. 246.
    Däumler, K.-D. (1983): Finanzmathematisches Tabellenwerk für Praktiker und Studierende. 2.Aufl. (Vlg. Neue Wirtschafts-Briefe; 143 S.) Herne und BerlinGoogle Scholar
  250. 247.
    Dajani, J., M. Sincoff and W. K.Talley (1979): Stability and agreement criteria for the termination of Delphi studies. Technological Forecasting and Social Change 13, 83–90CrossRefGoogle Scholar
  251. 248.
    Dalenius, T. (1982): A sample of ideas for research and development in the theory and methods of sample surveys. Utilitas Mathematica 21A, 59–74MathSciNetGoogle Scholar
  252. 249.
    Daniel, C.T. and F.S.Wood (1980): Fitting Equations to Data. Computer Analysis of Multifactor Data. 2nd ed. (Wiley; pp.458) New YorkGoogle Scholar
  253. 250.
    Dannehl, K. und M.P.Baur (1983): Diagnostische und prognostische Tests - Anforderungen aus biostatistischer Sicht. Gynäkologe 16, 177–187Google Scholar
  254. 251.
    Das, M.N. and N.C.Giri (1980): Design and Analysis of Experiments. (Wiley; pp.308) New YorkGoogle Scholar
  255. 252.
    David, H. (1982): The Computer Package STATCAT. (North-Holland; pp. 780) New York and AmsterdamzbMATHGoogle Scholar
  256. 253.
    David, H.A. (1981): Order Statistics. 2nd ed. (Wiley-Interscience; pp. 360) New YorkzbMATHGoogle Scholar
  257. 254.
    Davidson, R.A. and P.H.Farquhar (1976): A bibliography on the method of paired comparisons. BICS 32, 241–252zbMATHGoogle Scholar
  258. 255.
    Davis, D.K. and J.-W.Lee (1980): Time-Series Analysis Models for Communication Research. Chapter 14 in P. R. Monge and J. N. Cappella (Eds.): Multivariate Techniques in Human Communication Research. (Academic Press; pp.552) New York and London, pp.429–454Google Scholar
  259. 256.
    Davis, R. (1982): Expert Systems: Where Are We? And Where Do We Going From Here? (A.I.Memo No.665) (Massachusetts Institute of Technology; pp. 38 ) Cambridge, Mass.Google Scholar
  260. 257.
    Davison, M.L. (1983): Multidimensional Scaling. (Wiley; pp.242) New YorkzbMATHGoogle Scholar
  261. 258.
    Day, N.E., D.P.Byar and S.B.Green (1980): Overadjustment in case control studies. AMEP 112, 696–706Google Scholar
  262. 259.
    Deaton, M. L. (1983): Estimation and hypothesis testing in regression in the presence of nonhomogeneous error variances. CSSM 12, 45–66Google Scholar
  263. 260.
    Decoufle, P, T.L.Thomas and L.W.Pickle (1980): Comparison of the proportionate mortality ratio and standardized mortality ratio risk measures. AMEP 111, 263–269Google Scholar
  264. 261.
    DeGroot, M. H. and S. E. Fienberg (1983): The comparison and evaluation of forecasters. STAN 32, 12–22Google Scholar
  265. 262.
    Deichsel, G. and H. J. Trampisch (1985): Clusteranalyse u n d Diskriminanzanalyse. (G.Fischer, 135 S.) Stuttgart und New YorkGoogle Scholar
  266. 263.
    Delucchi, K. (1983): The use and misuse of chi-square: Lewis and Burke revisited. PYBU 94, 166–176.Google Scholar
  267. Delucchi, K. (1983): The use and misuse of chi-square: Lewis and Burke revisited. PYBU 95, 133.Google Scholar
  268. 264.
    Dempster, A.P., M.R.Selwyn, C.M.Patel and A.J.Roth (1984): Statistical and computational aspects of mixed model analysis. APST 33, 203–214zbMATHGoogle Scholar
  269. 265.
    Depriest, D.J. and R.L.Launer (Eds.; 1983 ): Reliability in the Acquisitions Process. (M.Dekker; pp.216) New YorkzbMATHGoogle Scholar
  270. 266.
    Deutler, T. (1976/1977): Die Bestimmung optimaler Schichtungen - ein Verfahrensvergleich. Jahrb. f. Nationalökonomie u. Statistik 191, 153–173Google Scholar
  271. 267.
    Deutler, T. (1981): Schätz- und Testverfahren bei Normalverteilung mit bekanntem Variationskoeffizienten. (Springer; 195 S.) HeidelbergGoogle Scholar
  272. 268.
    Deutler, T., M.Schaffranek und D.Steinmetz (1984): StatistikÜbungen im wirtschaftswissenschaftlichen Grundstudium. (Heidelberger TB, Bd.237) (Springer; 372 S.) Berlin, Heidelberg, New YorkGoogle Scholar
  273. 269.
    Diaconis, P. and B.Efron (1983): Computer intensive methods in statistics. Scientific American 248 (5), 96-109 and 138 (bzw. deutsche Version, Spektrum der Wissenschaften, Juli 1983, 96-109 und 183)Google Scholar
  274. 270.
    Diamond, W. J. (1981): Practical Experiment Designs for Engineers and Scientists. (Lifetime Learning Publications; pp. 348 ) Belmont, Calif. 94002Google Scholar
  275. 271.
    Diderich, G.T. (1985): The Kaiman filter from the perspective of Goldberger- Theil estimators. AMST 39, 193–198Google Scholar
  276. 272.
    Diehl, J.M. and H.-V.Kohr (1977): Durchführungsanleitungen für statistische Tests. (Beltz; 315 S.) WeinheimGoogle Scholar
  277. 273.
    Dielman, T. and R. Pfaffenberger (1982): LAV (Least Absolute Value) estimation in linear regression: a review. TIMS/Studies in the Management Sciences 19, 31–52MathSciNetGoogle Scholar
  278. 274.
    Dielman, T. E. (1983): Pooled cross-sectional and time series data: a survey of current Statistical methodology. AMST 37, 111–122zbMATHGoogle Scholar
  279. 275.
    Dielman, T.E. (1984): Least absolute value estimation in regression models: an annotated bibliography. CSTH 13, 513–541MathSciNetzbMATHGoogle Scholar
  280. 276.
    Digby, P.G.N. (1983): Approximating the tetrachoric correlation coefficient. BICS 39, 753–757.Google Scholar
  281. Digby, P.G.N.: Approximating the tetrachoric correlation coefficient. BICS 40 (1984), 563Google Scholar
  282. 277.
    Dijkstra, J.B. and P.S.P.J.Werter (1981): Testing the equality of several means when the population variances are unequal. CSSM 10, 557–569MathSciNetGoogle Scholar
  283. 278.
    Dijkstra, W. and J.Van Der Zouwen (1982): Response Behaviour in the Survey-Interview. (Academic Press; pp. 247) LondonGoogle Scholar
  284. 279.
    Din Taschenbuch 22 (1978): Normen für Größen und Einheiten in Naturwissenschaft und Technik. AEF-Taschenbuch. 5. erweit. Aufl. (Beuth Vlg.; 403 S.) BerlinGoogle Scholar
  285. 280.
    Dinges, H. (1984): Auslastung von Telefonzellen. Mathematische Semesterberichte 31, 77–94MathSciNetGoogle Scholar
  286. 281.
    Dinkel, R. (1983): Analyse und Prognose der Fruchtbarkeit am Beispiel der Bundesrepublik Deutschland. Zeitschrift für Bevölkerungswissenschaft 9, 47–72Google Scholar
  287. 282.
    Dinkel, R. (1984): Sterblichkeit in Perioden- und Kohortenbetrachtung. Zeitschrift für Bevölkerungswissenschaft 10, 477–500Google Scholar
  288. 283.
    Dirlewanger, W. (1983): Benutzer erwarten 99 Prozent Verfügbarkeit. Computerwoche 22.4., S. 36/38; 29.4., S. 34/35; 6.5., S. 42/43; 15.7., S. 30 /31Google Scholar
  289. 284.
    Divgi, D.R. (1979): Calculation of the tetrachoric correlation coefficient. PYKA 44, 169–172zbMATHGoogle Scholar
  290. 285.
    Dixon, W. J. (Ed.; 1981 ): BMDP Statistical Software 1981. (Univ. of Calif. Press; pp. 727) BerkeleyGoogle Scholar
  291. 286.
    Dixon, W.J. and F.J.Massey, Jr. (1983): Introduction to Statistical Analysis. 4th ed. (McGraw-Hill; pp. 678 ) New York, Hamburg, London...zbMATHGoogle Scholar
  292. 287.
    Dixon, W.J. and K.K.Yuen (1974): Trimming and Winsorization: a review. Statistische Hefte 15, 157–169MathSciNetzbMATHCrossRefGoogle Scholar
  293. 288.
    Dobson, Annette J. (1983): An Introduction to Statistical Modelling. (Chapman and Hall; pp.124) LondonGoogle Scholar
  294. 289.
    Doetsch, K. (1983): Validating new methods. Clinical Chemistry 29, 581Google Scholar
  295. 290.
    Doksum, K. A., Grete Fenstad and R. Aaberge (1977): Plots and tests for symmetry. BIKA 64, 473–487MathSciNetzbMATHGoogle Scholar
  296. 291.
    Dolby, G. R (1982): The role of statistics in the methodology of the life sciences. BICS 38, 1069–1083MathSciNetzbMATHGoogle Scholar
  297. 292.
    Doll, R. and R. Peto (1981): The causes of cancer: Quantitative estimates of avoidable risks of cancer in the United States today. J. Nat. Cancer Inst. 66, 1191–1308Google Scholar
  298. 292.
    Doll, R. and R.Peto (1981): The Causes of Cancer. Quantitative Estimates of Avoidable Risks of Cancer in the U. S. Today. (Oxford Univ. Press; pp. 144) New YorkGoogle Scholar
  299. 293.
    Domschke, W. (1981/82): Logistik: (1) Rundreisen und Touren. (2) Transport. Grundlagen, lineare Transport- und Umladeprobleme. (R. Oldenbourg; 176 S., 200 S.) München und WienGoogle Scholar
  300. 294.
    Domschke, W. und A.Drexl (1984): Logistik: Standorte. (R.Oldenbourg; 221 S.) München und WienGoogle Scholar
  301. 295.
    Donner, A. (1982): The relative effectiveness of procedures commonly used in multiple regression analysis for dealing with missing values. AMS T36, 378–381Google Scholar
  302. 296.
    Donner, A. (1984): Approaches to sample size estimation in the design of clinical trials - a review. SMED 3, 199–214Google Scholar
  303. 297.
    Douglas, J.B. (1979): Analysis With Standard Contagious Distributions. (International Co-operative Publ. House; pp. 520 ) Burtonsville, MDGoogle Scholar
  304. 298.
    Douglas, J.B. (1980): Analysis with Standard Contagious Distributions. (Internat. Co-op. Publ. House; pp. 520 ) Fairland, MarylandGoogle Scholar
  305. 299.
    Downton, F. (1982): Legal probability and Statistics. With discussion. JRSA 145, 395–402, 426–438Google Scholar
  306. 300.
    Draper, N.R. and H.Smith (1981): Applied Regression Analysis. 2nd ed. (Wiley; pp.709) New YorkGoogle Scholar
  307. 301.
    Dretzke, B.J., J. R. LEVIN and R.C.Serlin (1982): Testing for regression homogeneity under variance heterogeneity. PYBU 91, 376–383Google Scholar
  308. 302.
    Drexl, A. (1982): Geschichtete Stichprobenverfahren. Optimierung der Schichtgrenzen und Stichprobenumfänge. (A.Hain, Meisenheim; 167 S.) Königstein/Ts.Google Scholar
  309. 303.
    Dubin, R. (1978): Theory Building. 2nd rev. ed. (The Free Press/Macmillan; pp.304) New YorkGoogle Scholar
  310. 304.
    Dudewicz, E. J. (1976): Introduction to Statistics and Probability. (Holt, Rinehart and Winston; pp. 512) New York and LondonGoogle Scholar
  311. 305.
    Dudewicz, E.J. and T.A. Bishop (1981): Analysis of variance with unequal variances. JQTE 13, 111–114Google Scholar
  312. 306.
    Dudewicz, E.J. and S.R.Dalal (1983): Multiple comparisons with a control when variances are unknown and unequal. American Journal of Mathematical and Management Sciences 3, 275–295MathSciNetzbMATHGoogle Scholar
  313. 307.
    Dudewicz, E.J. and J.O. Koo (1982): The Complete Categorized Guide to Statistical Selection and Ranking Procedures. Vol. 6 (American Sciences Press; pp. 627 ) Columbus, OhioGoogle Scholar
  314. 308.
    Dudewicz, E.J. and T.G.Ralley (1981): The Handbook of Random Number Generation and Testing with TESTRAND Computer Code. (American Sciences Press; pp. 634 ) Columbus, OhioGoogle Scholar
  315. 309.
    Dudewicz, E.J., J.S. Ramberg and H.J.Chen (1975): New tables for multiple comparisons with a control (unknown variances). BIJL 17, 13–26MathSciNetzbMATHGoogle Scholar
  316. 310.
    Dürr, W. und K.Kleibohm (1983): Operations Research. Lineare Modelle und ihre Anwendungen. (Hanser; 332 S.) München und WienGoogle Scholar
  317. 311.
    Duffy, J.C. and Jennifer J. Waterton (1984): Randomized response models for estimating the distribution function of a quantitative character. INTR 52, 165–171Google Scholar
  318. 312.
    Dufour, J.-M., Y. Lepage and H. Zeidan (1982): Nonparametric testing for time series: a bibliography. Canad. J. Statist. 10, 1–38MathSciNetzbMATHCrossRefGoogle Scholar
  319. 313.
    Dunnett, C.W. (1980): Pairwise multiple comparisons in the homogeneous variance, unequal sample size case. JASA 75, 789–795Google Scholar
  320. 314.
    Dunnett, C.W. (1982): Robust multiple comparisons. CSTH 11, 2611–2629zbMATHGoogle Scholar
  321. 315.
    Duran, B.S. (1976): A survey of nonparametric tests for scale. CSTH A 5, 1287–1312MathSciNetGoogle Scholar
  322. 316.
    Dyer, D.D. and J.P.Keating (1980): On the determination of critical values for Bartletf s test. JASA 75, 313–319MathSciNetzbMATHGoogle Scholar
  323. 317.
    Eagleson, G. K. (1983): A robust test for multiple comparisons of correlation coefflcients. Australian Journal of Statistics 25, 256–263MathSciNetzbMATHCrossRefGoogle Scholar
  324. 318.
    Ebel, S. (1983): Über den Vertrauensbereich kalibrierender Analysenverfahren. Teil 1: Lineare Kalibrierfunktion. Computer-Anwendung im Labor 1, 55–61Google Scholar
  325. 319.
    Ebel, S., D. Alert und U. Schaefer (1983): Über d e n Vertrauensbereich kalibrierender Analysen verfahren. Teil 2: Nichtlineare Kalibrierfunktionen bei Approximation durch Polynome. Computer-Anwendung im Labor 1, 172–177Google Scholar
  326. 320.
    Ebel, S. und K. Kamm (1983): Statistische Definition der Bestimmungsgrenze. Fresenius Z. Anal. Chem. 316, 382–385CrossRefGoogle Scholar
  327. 321.
    Edgell, S. E. and Sheila M. Noon (1984): Effect of violation of normality on the t test of the correlation coefficient. PYBU 95, 576–583Google Scholar
  328. 322.
    Edgington, E.S. (1980): Randomization Tests. (M.Dekker; pp.287) New YorkGoogle Scholar
  329. 323.
    Edwards, D. and S. Kreiner (1983): The analysis of contingency tables by graphical models. BIKA 70, 553–565MathSciNetGoogle Scholar
  330. 324.
    Edwards, W. and J.R.Newman (1982): Multiattribute Evaluation. (Sage Publicat. Series 07-026; pp.95) Beverly Hills and LondonGoogle Scholar
  331. 325.
    Efron, B. (1979): Bootstrap methods: another look at the jackknife. Annais of Statistics 7, 1–26.MathSciNetzbMATHCrossRefGoogle Scholar
  332. Efron, B. Bootstrap methods: another look at the jackknife. Annais of Statistics 10, (1982), 212–225.CrossRefGoogle Scholar
  333. 326.
    Efron, B. (1982): The Jackknife, the Bootstrap and other Resampling Plans. (Society for Industrial and Applied Mathematics; pp.92) PhiladelphiaGoogle Scholar
  334. 327.
    Efron, B. and C.Morris (1977): Stein’s paradox in statistics. Scientific American 236, (5), 119–127 and 148Google Scholar
  335. 328.
    Ehrenberg, A.S.C. (1982): Writing technical papers or reports. AMST 36, 326–329Google Scholar
  336. 329.
    Eichhorn, B.H. and L.S.Hayre (1983): Scrambled randomized response methods for obtaining sensitive quantitative data. J. Statist. Planning Infer. 7, 307–316CrossRefGoogle Scholar
  337. 330.
    Eichhorn, C. (1984): Über die Anwendung verschiedener Diskriminationsverfahren. BIJL 26, 193–197Google Scholar
  338. 331.
    Elandt-Johnson, Regina C. (1971): Probability Models and Statistical Methods in Genetics. (Wiley; pp.592) New YorkGoogle Scholar
  339. 332.
    Elandt-Johnson, Regina C. and N.L.Johnson (1980): Survival Models and Data Analysis. (Wiley; pp.457) New YorkzbMATHGoogle Scholar
  340. 333.
    Ellinger, T. (1984): Operations Research. Eine Einführung. (Springer; 269 S.) Berlin, Heidelberg, New York, TokyoGoogle Scholar
  341. 334.
    Enke, H. (1980): Zur Erfassung von Zusammenhangsstrukturen in mehrdimensionalen Kontingenztafeln. ZGHY 26, 834–840Google Scholar
  342. 335.
    Enke, H. (1981): Zur Prüfung spezieller Kontraste (Untertests) in 3-dimensionalen Kontingenztafeln zur Ausschöpfung bestimmter sachbezogener Informationen. ZGHY 27, 387–394Google Scholar
  343. 336.
    Enke, H. (1981): Zur Prüfung der Unabhängigkeit spezieller unvollständiger 2-dimensionaler Kontingenztafeln. ZGHY 27, 796–799Google Scholar
  344. 337.
    Eppink, T. W. A. (1984): Correspondence analysis versus principal component analysis for highly skewed distributed variables. Computational Statistics Quarterly (Vienna) 1, 61–76zbMATHGoogle Scholar
  345. 338.
    Ernster, Virginia (1983): The measurement of associations between environmental exposures and cancer. AMST 37, 420–426Google Scholar
  346. 339.
    Eschenbach, W. (1984): Statistical inference for queuing models. Math. Operationsforsch, u. Statist., ser. statistics 15, 451–462MathSciNetzbMATHGoogle Scholar
  347. 340.
    Esenwein-Rothe, Ingeborg (1982): Einführung in die Demographie. Bevölkerungsstruktur und Bevölkerungsprozeß aus der Sicht der Statistik. (F. Steiner; 400 S.) WiesbadenGoogle Scholar
  348. 341.
    Eubank, R.L. (1983): Approximate regression models and splines. (Techn. Rep. No.180, Dept. Statist., Southern Methodist Univ.; pp. 56 ) Dallas, TexasGoogle Scholar
  349. 342.
    Everitt, B.S. (1978): Graphical Techniques for Multivariate Data. (Heinemann; pp.117) LondonGoogle Scholar
  350. 343.
    Everitt, B.S. (1981): Finite Mixture Distributions. (Chapman and Hall; pp.143) LondonGoogle Scholar
  351. 344.
    Everitt, B.S. (1984): An Introduction to Latent Variable Models. (Chapman and Hall; pp.107) LondonGoogle Scholar
  352. 345.
    Fagan, T.J. (1975): Nomogram for Bayes’ theorem. New England Journal of Medicine 293, 257Google Scholar
  353. 346.
    Fahrmeir, L. und A.Hamerle (Hrsg.; 1984 ): Multivariate statistische Verfahren, (de Gruyter; 796 S.) BerlinGoogle Scholar
  354. 347.
    Fahrmeir, L., H.Kaufmann und F.Ost (1981): Stochastische Prozesse. Eine Einführung in Theorie und Anwendungen. (Hanser; 366 S.) München, WienGoogle Scholar
  355. 348.
    Federer, W.T. (1980/81): Some recent results in experimental design with a bibliography, I - III. INTR 48, 357-368 and 49, 95–109, 185–197Google Scholar
  356. 349.
    Ferschl, F. (1980): Deskriptive Statistik. 2. verb. Aufl. (Physica-Vlg.; 308 S.) Würzburg und WienGoogle Scholar
  357. 350.
    Fieller, N.R.J. (1981): Looking at multivariate outliers from the Consultant statistician’s point of view. SSNL 7, 38–4 6Google Scholar
  358. 351.
    Fienberg, S.E. (1979): Graphical methods in statistics. AMST 33, 165–178Google Scholar
  359. 352.
    Fienberg, S.E. (1980): The Analysis of Cross-Classified Categorical Data. 2nd ed. (MIT Press; pp. 151 ) Cambridge, Mass.Google Scholar
  360. 353.
    Fienberg, S.E. (1981): Recent advances in theory and methods for the analysis of categorical data: making the link to Statistical practice. Bull. Int. Statist. Inst. 49, 763–791MathSciNetzbMATHGoogle Scholar
  361. 354.
    Fienberg, S.E. and J.B.Kadane (1983): The presentation of Bayesian Statistical analyses in legal proceedings. STAN 32, 88–98Google Scholar
  362. 355.
    Fienberg, S.E. and M.M.Meyer (1983): Loglinear models and categorical data analysis with psychometric and econometric applications. Journal of Econometrics 22, 191–214MathSciNetzbMATHCrossRefGoogle Scholar
  363. 356.
    Fienberg, S.E. and M.L.Straf (1982): Statistical assessments as evidence. JRSA 145, 410–4 21 [see also “law”: 395–409 and 422–438]Google Scholar
  364. 357.
    Finch, P.D. (1983): Do rates need standardizing for comparative purposes? BICS 39, 275–279Google Scholar
  365. 358.
    Fink, E.L. (1980): Unobserved Variables within Structural Equation Models. Chapter4 in P.R.Monge and J.N.Cappella (Eds.): Multivariate Techniques in Human Communication Research. (Academic Press; pp. 552) New York and London, pp. 111–141Google Scholar
  366. 359.
    Finney, D. J. (1977): Bioassay. In: Matthews, D. E. (Ed.): (Lecture Notes in Biomathematics, No.18) Mathematics and the Life Sciences. (Springer; pp. 385 ) Berlin, Heidelberg, pp. 66–151Google Scholar
  367. 360.
    Finney, D.J. (1983): Biological assay: A microcosm of Statistical practice. Bull. Int. Statist. Inst. 50, 790–812MathSciNetGoogle Scholar
  368. 361.
    Fischhoff, B., P.Slovic and Sarah Lichtenstein (1982): Lay foibles and expert fables in judgment about risk. AMST 36, 240–255 (risk issue pp. 221 - 320 )Google Scholar
  369. 362.
    Fisher, L. and J. Mcdonald (1978): Fixed Effects Analysis of Variance. (Academic Press; pp.192) New YorkGoogle Scholar
  370. 363.
    Fisher, N. I. (1983): Graphical methods in nonparametric statistics: a review and annotated bibliography. INTR 51, 25–58zbMATHGoogle Scholar
  371. 364.
    Fisher, N.I. and A.J.Lee (1983): A correlation coefficient for circular data. BIKA 70, 327–332.zbMATHGoogle Scholar
  372. Fisher, N.I. and A.J.Lee (1983): A correlation coefficient for circular data. BIKA 70, 333–341.Google Scholar
  373. 365.
    Fisher, RA. and F. Yates (1982): Statistical Tables for Biological, Agricultural and Medical Research. 6. ed. (Longman; pp. 146 ) Harlow, U.K.Google Scholar
  374. 366.
    Fleischmann, B. u. a. (Hrsg./Eds.; 1982 ): Operations Research Proceedings 1981. (Springer; 679 S., davon 119 in Englisch) Berlin, Heidelberg, New YorkGoogle Scholar
  375. 367.
    Fleiss, J.L. (1981): Statistical Methods for Rates and Proportions. 2nd ed. (Wiley; pp.321) New YorkGoogle Scholar
  376. 368.
    Fligner, M.A. and G. E. Policello II (1981): Robust rank procedures for the Behrens-Fisher problem. JASA 76, 162–168MathSciNetGoogle Scholar
  377. 369.
    Fligner, M.A. and D.A.Wolfe (1982): Distribution-free tests for comparing several treatments with a control. STNE 36, 119–127MathSciNetzbMATHGoogle Scholar
  378. 370.
    Flury, B. and H.Riedwyl (1983): Angewandte Multivariate Statistik. Computergestützte Analyse mehrdimensionaler Daten. (G.Fischer; 187 S.) StuttgartGoogle Scholar
  379. 371.
    Foerster, F. (1984): Computerprogramme zur Biosignalanalyse. (Springer; 141 S.) Berlin, Heidelberg, New YorkCrossRefGoogle Scholar
  380. 372.
    Folks, J.L. and RS.Chhikara (1978): The inverse Gaussian distribution and its Statistical application - a review. With discussion. JRSB 40, 263–289MathSciNetzbMATHGoogle Scholar
  381. 373.
    Ford, B.L. and R.D. Tortora (1978): A Consulting aid to sample design. BICS 34, 299–304Google Scholar
  382. 374.
    Forthofer, RH. and R.G.Lehnen (1981): Public Program Analysis. A New Approach to Categorical Data. (Lifetime Learning Publ. pp. 294 ) Belmont, Calif, 94002Google Scholar
  383. 375.
    Foster, H.D. (1980): Disaster Planning. The Preservation of Life and Property. (Springer; pp.275) New YorkGoogle Scholar
  384. 376.
    Francis, I. (1983): A survey of Statistical Software. COMP 1, 17–2 7Google Scholar
  385. 377.
    Frank, Ildico E. and B. R. Kowalski (1982): Chemometrics. Analytical Chemistry 54, 232R–243RCrossRefGoogle Scholar
  386. 378.
    Frankel, E.G. (1984): Systems Reliability and Risk Analysis. (M.Nijhoff; pp. 423) The HagueGoogle Scholar
  387. 379.
    Freeman, D. H., Jr., Maria E. Gonzalez, D. C. Hoaglin and B. A. Kilss (1983): Presenting Statistical papers. AMST 37, 106–110Google Scholar
  388. 380.
    Freeman, D. H., Jr. and T. R. Holford (1980): Summary rates. BICS 36, 195–205zbMATHGoogle Scholar
  389. 381.
    Freeman, P.R. (1983): The secretary problem and its extensions: a review. INTR 51, 189–206MathSciNetzbMATHGoogle Scholar
  390. 382.
    Frejka, T. (1983): Weltbevölkerungsvorausschätzungen: Ein knapper geschichtlicher Überblick. Zeitschrift für Bevölkerungswissenschaft 9, 73–92Google Scholar
  391. 383.
    French, S. and S.Oatley (1982): Bayesian statistics: an overview. CRYS 19–51Google Scholar
  392. 384.
    Frey, J. H. (1983): Survey Researchby Telephone. (Sage; pp. 201 ) Beverley Hills, Calif.Google Scholar
  393. 385.
    Frome, E.L. (1981): Poisson regression analysis. AMST 35, 262–263Google Scholar
  394. 386.
    Frome, E.L. and H.Checkoway (1985): Use of t h e Poisson regression models in estimating incidence rates and ratios. AMEP 121, 309–323Google Scholar
  395. 387.
    Fujino, Y. (1979): Tests for the homogeneity of a set of variances against ordered alternatives. BIKA 66, 133–139MathSciNetzbMATHGoogle Scholar
  396. 388.
    GAIL, M., R.WILLIAMS, D.P.BYAR and C.BROWN (1976): How many controls? CHRO 29, 723–731Google Scholar
  397. 389.
    Gaile, G.L. and C.J.Willmott (Eds.; 1984 ): Spatial Statistics and Models. (Reidel; pp.460) Dordrecht and BostonGoogle Scholar
  398. 390.
    Galen, R.S. und S.R.Gambino (1979): Norm und Normabweichung klinischer Daten. Der prädiktive Wert und die Effizienz von medizinischen Diagnosen. (G.Fischer; 195 S.) StuttgartGoogle Scholar
  399. 391.
    Games, P.A. (1977): An improved t table for simultaneous control on g contrasts. JASA 72, 531–534Google Scholar
  400. 392.
    Games, P.A., H.J.Keselman and Joanne C.Rogan (1981): Simultaneous pairwise multiple comparison procedures for means when sample sizes are unequal. PYBU 90, 594–598Google Scholar
  401. 393.
    Games, P.A., H.J.Keselman and J.C.Rogan (1983): A review of simultaneous pairwise multiple comparisons. STNE 37, 53–58zbMATHGoogle Scholar
  402. 394.
    Gans, D. J. (1981): Corrected and extended tables for Tukey’s quick test. TECS 23, 193–195zbMATHGoogle Scholar
  403. 395.
    Garden, J.S., D.G. Mitchell and W.N. Mills (1980): Nonconstant variance regression techniques for calibration-curve-based analysis. Analytical Chemistry 52, 2310–2315CrossRefGoogle Scholar
  404. 396.
    Gart, J. J. (1978): The analysis of ratios and cross product ratios of Poisson variates with application to incidence rates. CSTH A 7, 917–937Google Scholar
  405. 397.
    Gart, J. J. and D.G.Thomas (1982): The Performance of three approximate confidence limit methods for the odds ratio. AMEP 115, 453–470Google Scholar
  406. 398.
    Gass, S.I. (1983): Decision-aiding models: Validation, assessment, and related issues for policy analysis. Operations Research 31, 603–631CrossRefGoogle Scholar
  407. 399.
    Gaus, W. (1983): Dokumentations- und Ordnungslehre. Lehrbuch für die Theorie und Praxis des Information Retrieval. (Springer; 504 S.) Berlin, Heidelberg, New YorkGoogle Scholar
  408. 400.
    Gaver, D.P. and Karen Kafadar (1984): A retrievable recipe for inverse t. AMST 38, 308–311Google Scholar
  409. 401.
    Gawronski, W. and U. Stadtmüller (1981): Smoothing histograms by means of lattice and continuous distributions. MEKA 28, 155–164zbMATHGoogle Scholar
  410. 402.
    Gehrlein, W. V. and E. M. Saniga (1978): Some exact critical values for the Kruskal-Wallis statistic. JQTE 10, 73–75 [Geigy-Tabellen, Geigy Tables: see Nr. / No. 1426]Google Scholar
  411. 403.
    Gentle, J.E. (Ed.; 1984): Current Index to Statistics: Applications, Methods and Theory 9, (1983), 1–577 IMSL, 7500 Bellaire, Houston, TX 77036 and Amer. Statist. Assoc., 806 15th Street, N.W., Washington, D.C. 20005Google Scholar
  412. 404.
    Gentleman, Jane F. (Section Editor; 1984 ): New Developments in Statistical Computing. AMST 38, 315–321 (e. g.)Google Scholar
  413. 405.
    Gibbons, J.D. (1982): Methods for selecting the best process. JQTE 14, 80–88Google Scholar
  414. 406.
    Gibbons, J.D., I. Olkin and M.Sobel (1977): Selecting and Ordering Populations. A New Statistical Methodology. (Wiley; pp.569) New York (vgl. JASA 75, (1980), 751–756 )Google Scholar
  415. 407.
    Gibbons, J.D., I.Olkin and M.Sobel (1979): An introduction to ranking and selection. AMST 33, 185–195zbMATHGoogle Scholar
  416. 408.
    Gibbons, J.D. and J.W.Pratt (1975): P-values. Interpretation and methodology. AMST 29, 20–25.zbMATHGoogle Scholar
  417. 409.
    Gilchrist, R. (Ed.; 1982 ): GLIM 82. Proc. Internat. Conf. Generalized Linear Models, London 1982. (Lecture Notes in Statistics; Vol. 14) (Springer; pp.188) Berlin, Heidelberg, New York and Gilchrist, R, B.Francis and J. Whittaker (Eds.; 1985): Generalized Linear Models. (Proc. of GLIM 85 Conf., Lancaster, UK, Sept. 16-19,1985) (Springer; pp. 178 ) New York, Berlin, Heidelberg, TokyoGoogle Scholar
  418. 410.
    Girault, C. and W.Reisig (Eds.; 1982 ): Application and Theory of Petri Nets. (Informatik-Fachberichte, Bd. 52) (Springer; pp. 337 ) Berlin, Heidelberg, New YorkGoogle Scholar
  419. 411.
    Gittins, R. (1985): Canonical Analysis. A Review with Applications in Ecology. (Springer; pp. 320 ) Berlin, Heidelberg, New York, TokyoGoogle Scholar
  420. 412.
    Glass, G.V., P.D.Peckham and J.R. Sanders (1972): Consequences of failure to meet assumptions underlying the flxe effects analysis of variance and covariance. Review of Educational Research 42, 237–288Google Scholar
  421. 413.
    Glass, G.V., V.L.Willson and J.M.Gottman (1975): Design and Analysis of Time-Series Experiments. (Associated Univ. Press; pp.241) Boulder, ColoradoGoogle Scholar
  422. 414.
    Glass, G.V., B.Mcgaw and Mary L.Smith (1981): Meta-Analysis in Social Research. (Sage; pp. 278 ) Beverly Hills, Calif. and LondonGoogle Scholar
  423. 415.
    Glastetter, W., R. Paulert und U. Spörel (1983): Die Entwicklung in der Bundesrepublik Deutschland 1950-1980. Befunde, Aspekte, Hintergründe. (Campus Vlg.; 614 S.) Frankfurt/New YorkGoogle Scholar
  424. 416.
    Glenn, N. (1977): Cohort Analysis. (Sage Publicat. Series 07-005; pp. 72) Beverly Hills and LondonGoogle Scholar
  425. 417.
    Gnanadesikan, R. (Ed.; 1983 ): Statistical Data Analysis. Proc. Symp. Appl. Math., Vol. 28 (American Mathem. Soc.; pp. 141 ) Providence, Rhode IslandGoogle Scholar
  426. 418.
    Gold, Ellen B. (1983): The Changing Risk of Disease in Women: An Epidemiologie Approach. (Collamore Press; pp. 352 ) Lexington, MA 02173Google Scholar
  427. 419.
    Goldberg, J.D. and J.T.Wittes (1981): The evaluation of medical Screening procedures. AMST 35, 4–11Google Scholar
  428. 420.
    Goldberg, H. (1981): Extending the Limits of Reliability Theory. (Wiley; pp. 263) New YorkGoogle Scholar
  429. 421.
    Golder, E.R. and J.C.Settle (1976): The Box-Muller method for generating pseudo-random normal deviates. APST 25, 12–20MathSciNetGoogle Scholar
  430. 422.
    Goldstein, H. (1979): The Design and Analysis of Longitudinal Studies. Their Role in the Measurement of Change. (Academic Press; pp. 199) LondonGoogle Scholar
  431. 423.
    Goldstein, M. and Inge F. Goldstein (1978): How We Know. An Exploration of the Scientific Process. (Plenum Press; pp. 357) New YorkGoogle Scholar
  432. 424.
    Goller, M. (Hrsg.; 1982 ): Simulationstechnik. (l.Symp., Erlangen, 26.–28. April 1982 Proc.) (Informatik-Fachber., Bd. 56) (Springer; 544 S.) Heidelberg, Berlin, New YorkGoogle Scholar
  433. 425.
    Goodman, L. A. (1978): Analyzing Qualitative/Categorical Data. Log Linear Models and Latent-Structure Analysis. (Addison-Wesley; pp. 471 ) London, Amsterdam, Sydney, TokyoGoogle Scholar
  434. 426.
    Goodman, L. A. (1979): Simple models for the analysis of association in cross-classifications having ordered categories. JASA 74, 537–552Google Scholar
  435. 427.
    Goodman, L. A. (1981): Association models and the bivariate normal for contingency tables with ordered categories. BIKA 68, 347–355zbMATHGoogle Scholar
  436. 428.
    Goodman, L. A. (1983): The analysis of dependence in cross-classifications having ordered categories, using log-linear models for frequencies and log-linear models for odds. BICS 39, 149–160zbMATHGoogle Scholar
  437. 429.
    Goodman, L.A. and W.H.Kruskal (1979): Measures of Association for Cross Classifications. (Springer; pp.146) New YorkGoogle Scholar
  438. 430.
    Goodnight, J.H. and J.P.SALE (1982): SAS User’s Guide: Statistics. (SAS Institute; pp. 584 ) Cary, N.C.Google Scholar
  439. 431.
    Goovaerts, M. J., F. DE Vylder and J. Haezendonck (1984): Insurance Premiums Theory and Applications. (North-Holland; pp.406) AmsterdamGoogle Scholar
  440. 432.
    Gopal, G.K. (Ed.; 1984 ): Papers presented at the Institute of Statisticians’ Conference on Energy Statistics, Cambridge 1983. STAN 33, 1–179Google Scholar
  441. 433.
    Gordon, A.D. (1979): A measure of the agreement between rankings. BIKA 66, 7–15zbMATHGoogle Scholar
  442. 434.
    Gordon, A.D. (1979): Another measure of the agreement between rankings. BIKA 66, 327–332Google Scholar
  443. 435.
    Gordon, A.D. (1981): Classification. Methods for the Exploratory Analysis of Multivariate Data. (Chapman and Hall; pp.193) LondonGoogle Scholar
  444. 436.
    Gore, A.P. and KS.Madhava Rao (1982): Nonparametric test for slope in linear regression problems. BIJL 24, 229–237MathSciNetzbMATHGoogle Scholar
  445. 437.
    Gore, Sheila M., S.J.POCOCK and Gillian KKerr (1984): Regression models and non-proportional hazards in the analysis of breast cancer survival. APST 33, 176–195Google Scholar
  446. 438.
    Gower, J.C. (1982): The Yates algorithm. Utilitas Mathematica 21B, 99–115MathSciNetGoogle Scholar
  447. 439.
    GRANEY, M.J. (1978): Nomogram for obtaining z-test statistic from Spearman r s and sample size 10 to 1000. Teaching Sociology 5, 201–210CrossRefGoogle Scholar
  448. 440.
    Graney, M.J. (1979): Nomogram for obtaining z-test statistic from Kendall’s S and sample size 10 to 50. Educational and Psychological Measurement 39, 761–765CrossRefGoogle Scholar
  449. 441.
    Gräsbeck, R., T.Alström and H.E.Solberg (Eds.; 1981 ): Reference Values in Laboratory Medicine. The Current State of the Art. (Based on a NORDKEM Workshop Hanaholmen, Espoo, Finland 4-6 May 1980) (Wiley; pp. 413 ) Chichester, New YorkGoogle Scholar
  450. 442.
    Gray, J.B. and RF.Ling (1984): K-Clustering as a detection tool for influential subsets in regression. With discussion. TECS 26, 305–330Google Scholar
  451. 443.
    Graybill, F. (1983): Matrices with Applications in Statistics. 2nd ed. (Wadsworth; pp. 480 ) Belmont, Calif.Google Scholar
  452. 444.
    Gregson, R.A.M. (1983): Time Series in Psychology. (L.Erlbaum; pp. 443 ) Hillsdale, N. J. and LondonGoogle Scholar
  453. 445.
    Green, P.E. (1976): Mathematical Tools for Applied Multivariate Analysis. (Academic Press; pp.376) New YorkGoogle Scholar
  454. 446.
    Green, P.E. (1978): Analyzing Multivariate Data. (The Dryden Press; pp. 519 ) Hinsdale, III.Google Scholar
  455. 447.
    Green, RH. (1979): Sampling Design and Statistical Methods for Environmental Biologists. (Wiley; pp.257) New YorkGoogle Scholar
  456. 448.
    Greenacre, M. (1984): Theory and Applications of Correspondence Analysis. (Academic Press; pp.376) New York and LondonGoogle Scholar
  457. 449.
    Greenland, S. (1985): An application of logistic models to the analysis of ordinal responses. BIJL 27, 189–197MathSciNetGoogle Scholar
  458. 450.
    Greenland, S. and J.M.Robins (1985): Confounding and misclassification. AMEP 122, 495–506Google Scholar
  459. 451.
    Griffiths, D. (1982): Letter to the Editor. STAN 31, 268–270Google Scholar
  460. 452.
    Griffiths, D. A. (1980): Interval estimation for the three-parameter lognormal distribution via the likelihood function. APST 29, 58–68zbMATHGoogle Scholar
  461. 453.
    Griffiths, P. and I.D.Hill (Eds.; 1985 ): Applied Statistics Algorithms. (Wiley; pp.307), Chichester and New YorkGoogle Scholar
  462. 454.
    Grimmet, G.R. and D. R. Stirzaker (1982): Probability and Random Processes. (Clarendon Press; pp.354) OxfordGoogle Scholar
  463. 455.
    Gröner, G. (1982): Zur statistischen Erfassung der Wanderungsbewegung. Angew. Stat. Ökonom. 21, 41–53Google Scholar
  464. 456.
    Grötschel, M., M.Jünger and G.Reinelt (1984): Optimal triangulation of large real world input-output matrices. Statistische Hefte 25, 261–295Google Scholar
  465. 457.
    Gross, F. (1984): Placebo - the universal drug. MIM E 23, 176–182Google Scholar
  466. 458.
    Grossmann, W. (1985): Diskrimination und Klassifikation von Verlaufskurven. In: Pflug, G.Ch. (Hrsg.; 1985): Neuere Verfahren der nicht-parametrischen Statistik. (Mediz. Informatik und Statist., Bd. 60) (Springer; 129 S.) Berlin, Heidelberg, New York, Tokyo; S. 109–127Google Scholar
  467. 459.
    Groves, R. M. and R. L. Kahn (1979): Survey by Telephone - a national comparison with personal interviews. (Academic Press; pp.370) New YorkGoogle Scholar
  468. 460.
    Guenther, W.C. (1977): Sampling Inspection in Statistical Quality Control. (Griffin; pp.206) LondonGoogle Scholar
  469. 461.
    Guenther, W. C. (1977): Power and sample size determination when the alternative hypotheses are given in quantiles. AMST 31, 117–118MathSciNetGoogle Scholar
  470. 462.
    Guenther, W.C. (1979): The use of noncentral Fapproximations for calculation of power and sample size. AMST 33, 209–210zbMATHGoogle Scholar
  471. 463.
    Gupta, B.C. (1981): Checks on Yates’ algorithm for a 2 m factorial experiment. Austral. J. Statist. 23, 256–258MathSciNetzbMATHCrossRefGoogle Scholar
  472. 464.
    Gupta, M. M. and E. Sanchez (Eds.; 1982 ): Fuzzy Information and Decision Processes. (North-Holland; pp. 451 ) Amsterdam, New York, OxfordGoogle Scholar
  473. 465.
    Gupta, S.S. and Woo-Chul Kim (1981): On the problem of selecting good populations. CSTH 10, 1043–1077MathSciNetGoogle Scholar
  474. 466.
    Gupta, S.S. and S.Panchapakesan (1979): Multiple Decision Procedures. Theory and Methodology of Selecting and Ranking Populations. (Wiley; pp.573) New YorkGoogle Scholar
  475. 467.
    Gupta, S.S., S.Panchapakesan and J.K.Sohn (1985): On the distribution of the Studentized maximum of equally correlated normal random variables. CSSM 14, 103–135zbMATHGoogle Scholar
  476. 468.
    Guttman, I. (1982): Linear Models. An Introduction. (Wiley-Interscience; pp.358) New YorkGoogle Scholar
  477. 469.
    Gy, P.M. (1982): Sampling of Particulate Materials: Theory and Practice. (Elsevier; pp.431) New YorkGoogle Scholar
  478. 470.
    Haber, M. (1982): The continuity correction and Statistical testing. INTR 50, 135–144zbMATHGoogle Scholar
  479. 471.
    Haber, M. (1984): Algorithm AS 207: Fitting a general loglinear model. APST 33, 358–362Google Scholar
  480. 472.
    Haberman, S.J. (1978/79): Analysis of Qualitative Data: Vol. l, Introductory Topics; Vol.2, New Developments. (Academic Press; pp.612) New York and LondonGoogle Scholar
  481. 473.
    Hacking, I. (1975): The Emergence of Probability. A Philosophical Study of the Early Ideas about Probability, Induction and Statistical Inference. (Cambridge Univ. Pr.; pp. 209) CambridgeGoogle Scholar
  482. 474.
    Härtler, Gisela (1976): Versuchsplanung und statistische Datenanalyse. (Akademie-Verlag; 103 S.) BerlinGoogle Scholar
  483. 475.
    Härtler, G. (1983): Statistische Methoden für die Zuverlässigkeitsanalyse. (Springer; 230 S.) Wien u. New YorkCrossRefGoogle Scholar
  484. 476.
    Hahn, G.J. (1977): Fitting regression models with no intercept term. JQTE 9, 56–61Google Scholar
  485. 477.
    Hahn, G.J. (1984): Experimental design in the complex world. TECS 26, 19–31Google Scholar
  486. 478.
    Hahn, G.J. (1985): More intelligent Statistical Software and expert systems: future directions. With discussion. AMST 39, 1–16Google Scholar
  487. 479.
    Hahn, G.J. and R.Chandra (1981): Tolerance intervals for Poisson and binomial variables. JQTE 13, 100–110Google Scholar
  488. 480.
    Hahn, G.J. and W.Q.Meeker, Jr. (1984): An engineer’s guide to books on statistics and data analysis. JQTE 16, 196–218Google Scholar
  489. 481.
    Hahn, G.J. and W.Nelson (1973): A survey of prediction intervals and their applications. JQTE 5, 178–188Google Scholar
  490. 482.
    Hair, J.F., Jr., RE.Anderson, RL.Tatham and B.J.Grablowsky (1984): Multivariate Data Analysis. With Readings. 2nd ed. (Petroleum Publ. Comp., Penn Well; pp. 360 ) Tulsa, Oklahoma 74101Google Scholar
  491. 483.
    Hald, A. (1981): Statistical Theory of Sampling Inspection by Attributes. (Academic Press; pp.518) LondonGoogle Scholar
  492. 484.
    Halder, H.-R und W.HEISE (1976): Einführung in die Kombinatorik. (Hanser; 302 S.) München und WienGoogle Scholar
  493. 485.
    Hall, I.J. and D.D.Sheldon (1979): Improved bivariate normal tolerance regions with some applications. JQTE 11, 13–19Google Scholar
  494. 486.
    Hall, P. (1982): Improving the normal approximation when constructing one-sided confidence intervals for binomial or Poisson parameters. BIKA 69, 647–652zbMATHGoogle Scholar
  495. 487.
    Hamer, G. (1981): Aufgaben und Probleme der amtlichen Statistik in der Bundesrepublik Deutschland aus ihren internationalen Kooperationsverpflichtungen. ASTA 65, 40–61Google Scholar
  496. 488.
    Hampel, F. (1978): Modern trends in the theory of robustness. Math. Operationsforsch, und Stat., Ser. Statistics 9, 425–442MathSciNetzbMATHGoogle Scholar
  497. 489.
    Han, C.-P. and J.L. G.Wang (1983): Computation of noncentral F distributions with even denominator degrees of freedom. CSSM (1983): 12, 1–9Google Scholar
  498. 490.
    Hand, D.J. (1982): Discrimination and Classification. (Wiley; pp.224) New YorkGoogle Scholar
  499. 491.
    Harper, W.M. and H.C.Lim (1982): Operational Research. 2nd ed. (Macdonald and Evans; pp.310) PlymouthGoogle Scholar
  500. 492.
    Harlow, B.L., Jeanne F. Rosenthal and Regina G. Ziegler (1985): A comparison of computer-assisted and hard copy telephone interviewing. AMEP 122, 335–340Google Scholar
  501. 493.
    Harris, Diana K. (1985): The Sociology of Aging. An Annotated Bibliography and Sourcebook. (Garland; pp.283) New York and LondonGoogle Scholar
  502. 494.
    Hart, Anna E. (1983): The non-standard deviation. Teaching Statistics 5, 16–20CrossRefGoogle Scholar
  503. 495.
    Harter, H.L. (1983): The Chronological Annotated Bibliography of Order Statistics. Voll: Pre-1950. Vol.2: 1950-59. (American Sciences Press; pp.515 and 993 ) Columbus, OhioGoogle Scholar
  504. 496.
    Harter, H.L. and D.B.Owen (Eds.; 1973, 1974 ): Selected Tables in Mathematical Statistics, 1 and 2. (Institute of Mathematical Statistics, Am. Math. Soc.; pp.403; 388 ) Providence, Rhode IslandGoogle Scholar
  505. 497.
    Hartge, Patricia, Louise A.Brinton, Jeanne F. Rosenthal, J.I.Cahill, R. N. Hoover and J. Waksberg (1984): Random digit dialing in selecting a population-based control group. AMEP 120, 825–833Google Scholar
  506. 498.
    Hartigan, J.A. (1983): Bayes Theory. (Springer; pp. 145 ) New York, Heidelberg, BerlinCrossRefGoogle Scholar
  507. 499.
    Hartley, H.O. (1980): Statistics as a science and as a profession. JASA 75, 1–7MathSciNetGoogle Scholar
  508. 500.
    Hartmann, D.P., J.M.Gottman, R.R. Jones, W. Gardner, A.E.Kazdin and R. S. Vaught (1980): Interrupted time-series analysis and its application to behavioral data. Journal of Applied Behavior Analysis 13, 543–559Google Scholar
  509. 501.
    Härtung, J. und Bärbel Elpelt (1984): Multivariate Statistik. Lehr- und Handbuch der angewandten Statistik. (ROldenbourg; 806 S.) München und WienGoogle Scholar
  510. 502.
    Hartwig, F. and B.E.Dearing (1979): Exploratory Data Analysis. (Sage Publicat. Series 07–016; pp.83) Beverley Hills and LondonGoogle Scholar
  511. 503.
    Hasselblad, V., A.G.Stead and W.Galke (1980): Analysis of coarsely grouped data from the lognormal distribution. JASA 75, 771–778Google Scholar
  512. 504.
    Hastings, N.A.J. and J.B.Peacock (1979): Statistical Distribution. (Wiley; pp.130) New YorkGoogle Scholar
  513. 505.
    Hauser, J.A. (1982): Bevölkerungslehre für Politik, Wirtschaft und Verwaltung. (UTB Nr. 1164) (P. Haupt; 359 S.) Bern und StuttgartGoogle Scholar
  514. 506.
    Hauss, K. (Hrsg.; 1981 ): Medizinische Psychologie im Grundriß. 2. erw. Aufl. (Vlg. f. Psychologie, Dr. C.J.Hogrefe; 532 S.) Göttingen, Toronto, Zürich (insbes. S. 203/234)Google Scholar
  515. 507.
    Haux, R. (1983/84): Statistical analysis systems. Construction and aspects of method design. SSNL 9, 106–115.Google Scholar
  516. 508.
    Haux, R. (1985): Datenbankaspekte bei statistischen Auswertungssystemen. EDVM 16, 41–46MathSciNetGoogle Scholar
  517. 509.
    Haux, R., M.Schumacher and G.Weckesser (1984): Rank tests for complete block designs. BIJL 26, 567–582MathSciNetzbMATHGoogle Scholar
  518. 510.
    Hawkes, A.G. (1982): Approximating the normal tail. STAN 31, 231–236Google Scholar
  519. 511.
    Hawkins, D.M. (1980): Identification of Outliers. (Chapman and Hall; pp. 224) LondonGoogle Scholar
  520. 512.
    Hawkins, D.M. (1981): Testing for equality of variances of correlated normal variables. STNE 35, 39–47MathSciNetzbMATHGoogle Scholar
  521. 513.
    Hawkins, D.M. (Ed.; 1982 ): Topics in Applied Multivariate Analysis. (Cambridge Univ. Press; pp. 362) CambridgeGoogle Scholar
  522. 514.
    Haynam, G.E., Z. Govindarajulu, F.C. LEONE and P. Siefert (1982/83): Tables of the cumulative non-central chi-square distribution - parts 1-4. Math. Operationsforsch. Statist., Ser. Statistics 13, 413–443,577–634, 14, 75–139, 269–300Google Scholar
  523. 515.
    Healy, M.J.R. (1979): Outliers in clinical chemistry quality control schemes. Clinical Chemistry 25, 675–677Google Scholar
  524. 516.
    Hearne, E. M., III and G. M. Clark (1983): Validity and power investigation of a test for serial correlation in univariate repeated measures analyses. SMED 2, 497–504Google Scholar
  525. 517.
    Heiberger, R.M. (1981): The specification of experimental designs to ANOVA programs. With comments and reply. AMST 35, 98–108zbMATHGoogle Scholar
  526. 518.
    Heiler, S. (1982): Zeitreihenanalyse heute: Ein Überblick. ASTA 65, 376–402Google Scholar
  527. 519.
    Heilig, G. (1983): Bildung und Anwendung nichtmetrischer Modelle in der Bevölkerungswissenschaft (GSK-Ansatz). Zeitschrift für Bevölkerungswissenschaft 9, 447–474Google Scholar
  528. 520.
    Heiner, K.W., J.W. Wilkinson and R S. Sacher (Eds.; 1983 ): Computer Science and Statistics: Proceedings of the 14th Symposium on the Interface. (Springer; pp. 313 ) New York, Heidelberg, BerlinGoogle Scholar
  529. 521.
    Heinsohn, G., R.Knieper und O.Steiger (1979): Menschenproduktion. Allgemeine Bevölkerungstheorie der Neuzeit. (Suhrkamp [ed. s.914]; 258 S.) Frankfurt/M.Google Scholar
  530. 522.
    Heise, D.R. (1975): Causal Analysis. (Wiley-Interscience; pp.301) New YorkGoogle Scholar
  531. 523.
    Hendry, D.F. and J.-F. Richard (1983): The econometric analysis of economic time series. With discussion. INTR 51, 111–163MathSciNetzbMATHGoogle Scholar
  532. 524.
    Henley, E.J. and H.Kumamoto (1980): Reliability Engineering and Risk Assessment. (Prentice-Hall; pp.568) New YorkGoogle Scholar
  533. 525.
    Henning, H.J. und K.Muthig (1979): Grundlagen konstruktiver Versuchsplanung. Ein Lehrbuch für Psychologen. (Kösel-Vlg.; 263 S.) MünchenGoogle Scholar
  534. 526.
    Henschel, H. (1979): Wirtschaftsprognosen. (F.Vahlen; 156 S.) MünchenGoogle Scholar
  535. 527.
    Hersen, M. and D.H.Barlow (and A.E.KAZDIN; 1976 ): Single-Case Experimental Designs: Strategies for Studying Behavior Change. (Pergamon Press; pp. 374 ) New York,…, FrankfurtGoogle Scholar
  536. 528.
    Hertz, D. and H.Thomas (1983): (1) Risk Analysis and Its Applications. (2) Practical Risk Analysis, an Approach through Case Histories. (Wiley; pp.246, 360) New YorkGoogle Scholar
  537. 529.
    Herzog, O., W.Reisig und R.Valk (1984): Petri-Netze: ein Abriß ihrer Grundlagen und Anwendungen. Informatik-Spektrum 7, 20–27Google Scholar
  538. 530.
    Hewett, J.E. and Z. Lababidi (1982): Comparison of three regression lines over a finite interval. BICS 38, 837–891MathSciNetGoogle Scholar
  539. 531.
    Hewlett, P.S. and R. L Plackett (1979): An Introduction to the Interpretation of Quantal Responses in Biology. (E.Arnold; pp. 82) LondonGoogle Scholar
  540. 532.
    Heyde, C.C. (1982): Trends in the Statistical sciences. Australian Journal of Statistics 23, 273–286CrossRefGoogle Scholar
  541. 533.
    Hilgers, R. (1982): On the Wilcoxon-Mann-Whitney-test as nonparametric analogue and extension of /-test. BIJL 24, 3–15MathSciNetzbMATHGoogle Scholar
  542. 534.
    Hill, D.L. and P.V. Rao (1981): Tests of symmetry based on Watson statistics. CSTH 10, 1111–1125MathSciNetGoogle Scholar
  543. 535.
    Hill, M.O. (1974): Correspondence analysis: a neglected multivariate method. APST 23, 340–354Google Scholar
  544. 536.
    Hillier, F.S. and G. J. Lieberman (1980): Introduction to Operations Research. 3rd ed. (Holden-Day; pp. 829 ) Oakland, Calif.Google Scholar
  545. 537.
    Hills, M. (1967): Discrimination and allocation with discrete data. APST 16, 237–250Google Scholar
  546. 538.
    Hinkelmann, K. (Ed.; 1984 ): Experimental Design, Statistical Models and Genetic Statistics. (M.Dekker; pp.409) New YorkGoogle Scholar
  547. 539.
    Hinschützer, Ursula und Heide Momber (1982): Basisdaten über ältere Menschen in der Statistik der Bundesrepublik Deutschland. (Deutsches Zentrum für Altersfragen e.V., 457 S.) 1000 Berlin 42Google Scholar
  548. 540.
    Hinz, P. and J.Gurland (1967): Simplified techniques for estimating Parameters of some generalized Poisson distributions. BIKA 54, 555–566MathSciNetzbMATHGoogle Scholar
  549. 541.
    Hirano, K, H. Kuboki, S.Aki and A. Kuribayashi (1983): Figures of Probability Density Functions in Statistics I. Continuous Univariate Case. (Computer Science Monograph No. 19) (The Institute of Statistical Mathematics; pp.87) TokyoGoogle Scholar
  550. 542.
    Hirano, K, H. Kuboki, S.Aki and A. Kuriba Yashi (1984): Figures of Probability Density Functions in Statistics II. Discrete Univariate Case. (Computer Science Monograph No.20) (The Institute of StatisticalGoogle Scholar
  551. Mathematics; pp.199) TokyoGoogle Scholar
  552. 543.
    Hitching, F. (1982): Die letzten Rätsel unserer Welt. Übers, aus dem Engl, von Pro Interpret GmbH. (Umschau-Vlg.; 296 S.) Frankfurt am MainGoogle Scholar
  553. 544.
    Hjorth, U. (1980): A reliability distribution with increasing, decreasing, constant and bathtub-shaped failure rates. TECS 22, 99–107MathSciNetzbMATHGoogle Scholar
  554. 545.
    Hoaglin, D.C. (1977): Direct approximations for chi-squared percentage points. JASA 72, 508–515Google Scholar
  555. 546.
    Hoaglin, D.C. (1980): APoissonnessplot. AMST 34, 146–149Google Scholar
  556. 547.
    Hoaglin, D.C., F.Mosteller and J.W.Tukey (Eds.; 1983 ): Understanding Robust and Exploratory Data Analysis. (Wiley; pp.447) New YorkGoogle Scholar
  557. 548.
    Hoaglin, D.C. and R. Welsch (1978): The hat matrix in regression and ANOVA. AMST 32, 17–22zbMATHGoogle Scholar
  558. 549.
    Hocking, RR (1976): The analysis and selection of variables in linear regression. BICS 32, 1–4 9Google Scholar
  559. 550.
    Hocking, R. R. (1983): Developments in linear regression methodology: 1959-1982. With discussion. TECS 25, 219–249MathSciNetzbMATHGoogle Scholar
  560. 551.
    Hocking, R.R. and O.J.Pendleton (1983): The regression dilemma. CSTH 12, 497–527zbMATHGoogle Scholar
  561. 552.
    Höfle-Isphording, U. (1978): Zuverlässigkeitsrechnung. Einführung in ihre Methoden. (Springer; 179 S.) HeidelbergGoogle Scholar
  562. 553.
    Höhn, Charlotte, U.Mammey und K. Schwarz (1981): Die demographische Lage in der Bundesrepublik Deutschland. Zeitschr. f. Bevölkerungswissenschaft 7, 139–230Google Scholar
  563. 554.
    Holder, E. (1984): Das Statistische Bundesamt. Das Wirtschaftsstudium 13, 401–405 und 431Google Scholar
  564. 555.
    Hoerl, A.E. and R.W.Kennard (1970): Ridge regression: biased estimation for nonorthogonal problems. TECS 12, 55–67zbMATHGoogle Scholar
  565. 556.
    Hoerl, R. W. (1985): Ridge analysis 25 years later. AMST 39, 186–192MathSciNetGoogle Scholar
  566. 557.
    Hoff, J.C. (1983): A Practical Guide to Box-Jenkins Forecasting. (Lifetime Learning Publications; pp. 316 ) Belmont, Calif. 94002Google Scholar
  567. 558.
    Hogarth, R.M. (Ed.; 1982 ): Question Framing and Response Consistency. (Jossey-Bass; pp. 109 ) San Francisco, Calif.Google Scholar
  568. 559.
    HOGG, R.V. and R.V.LENTH (1984): A review of some adaptive Statistical techniques. CSTH 13, 1551–1579MathSciNetzbMATHGoogle Scholar
  569. 560.
    Hogg, Sheilah A. and A.Ciampi (1985): GFREG: A Computer program for maximum likelihood regression using the generalized Fdistribution. Computer Methods and Programs in Biomedicine 20, 201–215CrossRefGoogle Scholar
  570. 561.
    Hogue, Carol J.R., D.W.Gaylor and K. F. Schulz (1983): Estimators of relative risk for case-control studies. AMEP 118, 396–407Google Scholar
  571. 562.
    Holford, T.R. (1980): The analysis of rates and of survivorship using log-linear models. BICS 36, 299–305zbMATHGoogle Scholar
  572. 563.
    Holler, M.J. (Hrsg.; 1984 ): Wahlanalyse. Hypothesen, Methoden und Ergebnisse. (tuduV Vlg.; 230 S.) München 2, Gabelsbergerstr. 15Google Scholar
  573. 564.
    Holm, K (Hrsg.; 1979 ): Die Befragung 6. (UTB Nr.436) (A.Francke; 277 S.) MünchenGoogle Scholar
  574. 565.
    Holm, S. (1979): A simple sequentially rejective multiple test procedure. Scandinavian Journal of Statistics 6, 65–70MathSciNetzbMATHGoogle Scholar
  575. 566.
    Holmes, D.I. (1983): A graphical identification procedure for growth curves. STAN 32, 405–415Google Scholar
  576. 567.
    Hommel, G. (1985): Multiple Vergleiche mittels Rangtests - alle Paarvergleiche. In: Pflug, G.Ch. (Hrsg.; 1985): Neuere Verfahren der nichtparametrischen Statistik. (Mediz. Informatik und Statist., Bd. 60) (Springer; 129 S.) Berlin, Heidelberg, New York, Tokyo, S. 28–48CrossRefGoogle Scholar
  577. 568.
    Hooke, R. (1983): How to Teil the Liars from the Statisticians. (M.Dekker; pp.173) New YorkGoogle Scholar
  578. 569.
    Hora, S.C. and G.D.Kelley (1983): Bayesian inference on the odds and risk ratios. CSTH 12, 725–738MathSciNetzbMATHGoogle Scholar
  579. 570.
    Horn, M. (1981): On the theory for RYANs universal multiple comparison producedure with treatment of ties in the ranks of samples. BIJL 23, 343–355MathSciNetzbMATHGoogle Scholar
  580. 571.
    Hörne, G.P. and M.C.K. Yang (1982): Time series analysis for singlesubject designs. PYBU 91, 178–189Google Scholar
  581. 572.
    Hornung, J. (1977): Kritik des Signifikanztests. Metamed 1, 325–345CrossRefGoogle Scholar
  582. 573.
    Horton, R.L. (1978): The General Linear Model. Data Analysis in the Social and Behavioral Sciences. (McGraw-Hill; pp.274) New YorkGoogle Scholar
  583. 574.
    Hosmer, D.W. and S.C.Hartz (1981): Methods for analyzing odds ratios in a 2 x c contingency table. BIJL 23, 741–748MathSciNetzbMATHGoogle Scholar
  584. 575.
    Hossack, I.B., J.H. Pollard and B.Zehnwirth (1983): IntroductoryGoogle Scholar
  585. Statistics with Applications in General Insurance. (Cambridge Univ. Press; pp. 280) CambridgeGoogle Scholar
  586. 576.
    Howe, D.R. (1983): Data Analysis for Data Base Design. (E.Arnold; pp. 307) LondonGoogle Scholar
  587. 577.
    Hubaux, A. and G. Vox (1970): Decision and detection limits for linear calibration curves. Analytical Chemistry 42, 849–855CrossRefGoogle Scholar
  588. 578.
    Huber, H.P. (1980): Zur Auswertung mehrfaktorieller Rangvarianzanalysen bei ungleichen Zellbesetzungen. Teill: Versuchspläne mit unabhängigen Stichproben. PYBE 22, 553–573Google Scholar
  589. 579.
    Huber, H.P. (1982): Zur Auswertung mehrfaktorieller RangvarianzanalysenGoogle Scholar
  590. 580.
    Huber, P. J. (1981): Robust Statistics. (Wiley; pp.308) New York bei ungleichenGoogle Scholar
  591. 581.
    Huber, R.K. (Ed.; 1984 ): Systems Analysis and Modeling in Defense. Development, Trends, Issues. (Plenum Publ. Corp.; pp. 930) New YorkGoogle Scholar
  592. 582.
    Hubert, J.J. (1980): Bioassay. (Kendall/Hunt Publ. Co.; pp. 164 ) Dubuque, IowaGoogle Scholar
  593. 583.
    Huberty, C. J. (1984): Issues in the use and interpretation of discriminant analysis. PYBU 95, 156–171Google Scholar
  594. 584.
    Hübner, E. und H.-H.Rohlfs (1984): Jahrbuch der Bundesrepublik 1984. (Beck/dtv [TB Nr. 5250]; 521 S.) MünchenGoogle Scholar
  595. 585.
    Huitema, B.E. (1980): The Analysis of Covariance and Alternatives. (Wiley; pp.440) New YorkGoogle Scholar
  596. 586.
    Huitson, A., J. Poloniecki, R. Hews and N. Barker (1982): A review of cross-over trials. STAN 31, 71–80 [see also P.Armitage and M.Hills: 119-131]Google Scholar
  597. 587.
    Humak, K.M.S. (1977/84): Statistische Methoden der Modellbildung I-III. I.: Statistische Inferenz für lineare Parameter. II.: Nichtlineare Regression, robuste Verfahren in linearen Modellen, Modelle mit Fehlern in den Variablen. III.: Statistische Inferenz für Kovarianzparameter. (Akademie-Verlag; 516, 360, 344 S.) BerlinGoogle Scholar
  598. 588.
    Hunter, J.E., F.L.Schmidt and G.B.Jackson (1982): Meta-Analysis. Cumulating Research Findings Across Studies. (Sage; pp. 176 ) Beverly Hills, Calif. and LondonGoogle Scholar
  599. 589.
    Hunter, W.G. and W.F.Lamboy (1981): A Bayesian analysis of the linear calibration problem. With discussion. TECS 23, 323–350MathSciNetzbMATHGoogle Scholar
  600. 590.
    Hussain, S.S. and P.Sprent (1983): Non-parametric regression. JRSA 146, 182–191MathSciNetCrossRefGoogle Scholar
  601. 591.
    Hussmans, R., U.Mammey und R.Schulz (1983): Die demographische Lage in der Bundesrepublik Deutschland. Zeitschrift für Bevölkerungswissenschaft 3, 291–362Google Scholar
  602. 592.
    Hwang, F. K. (1984): Robust group testing. JQTE 16, 189–195Google Scholar
  603. 593.
    Iachan, R. (1982): Systematic sampling: a critical review. INTR 50, 293–303MathSciNetzbMATHGoogle Scholar
  604. 594.
    Iachan, R. (1983): Nonsampling errors in surveys - A review. CSTH 12, 2273–2287zbMATHGoogle Scholar
  605. 595.
    Iachan, R. (1984): Sampling strategies, robustness and efficiency: the State of the art. INTR 52, 209–218MathSciNetzbMATHGoogle Scholar
  606. 596.
    Ihm, R (1984): Korrespondenzanalyse und Gaußsches Ordinationsmodell. ASTA 68, 41–62Google Scholar
  607. 597.
    Iman, R. L. and W.J. Conover (1978): Approximations of t h e critical region for Spearman’s rho with and without ties present. CSSM B 7, 269–282Google Scholar
  608. 598.
    Iman, R.L. and J. M. Davenport (1976): New Approximations to the exact distribution of the Kruskal-Wallis test statistic. CSTH A 5, 1335–1348Google Scholar
  609. 599.
    Iman, R.L. and J. M. DAVenport (1980): Approximations of the critical region of the Friedman statistic. CSTH A 9, 571–595Google Scholar
  610. 600.
    Iman, R.L., D.Qu Ade and D. A. Alexander (1975): Exact probability levels for the Kruskal-Wallis test. Selected Tables in Mathematical Statistics 3, 329–384Google Scholar
  611. 601.
    Impagliazzo, J. (1985): Deterministic Aspects in Mathematical Demography. (Biomathematics, Vol. 13) (Springer; pp. 200 ) New York, HeidelbergGoogle Scholar
  612. 602.
    Inskip, Hazel, Valerie Beral and Patricia Fräser (1983): Methods for age-adjustment of rates. SMED 2, 455–466Google Scholar
  613. 603.
    Jackson, D.J. and E.F.Borgatta (Eds.; 1981 ): Factor Analysis and Measurement in Sociological Research. A Multi-Dimensional Perspective. (Sage Publicat. Series 07-021; pp. 313 ) Beverly Hills, Calif. 90212Google Scholar
  614. 604.
    Jackson, J.E. (1980/81): Principal components and factor analysis. JQTE 12, 201–213; 13, 46–58 and 125–130Google Scholar
  615. 605.
    Jaech, J.L. (1979): Estimating within-laboratory variability from interlaboratory test data. JQTE 11, 185–191Google Scholar
  616. 606.
    Jaffe, A. (1984): Ordering the universe: the role of mathematics. SIAM Review 26, 473–500MathSciNetzbMATHCrossRefGoogle Scholar
  617. 607.
    Jain, RB. (1981): Detecting outliers: power and some other considerations. CSTH A10, 2299–2314Google Scholar
  618. 608.
    Jambu, M. and M.-O. Lebeaux (1983): Cluster Analysis and Data Analysis. (North-Holland; pp.898) AmsterdamGoogle Scholar
  619. 609.
    Jandok, W. (1982): Methodische Grundfragen eines rationellen Entscheidungsablaufs bei Fragebogenanwendungen in der Medizin. ZGHY 28, 878–881 [vgl. auch 30, (1984), 242-245]Google Scholar
  620. 610.
    Jansen, A. A.M. (1980): Comparative calibration and congeneric measurements. BICS 36, 729–734Google Scholar
  621. 611.
    Jansen, Marlies E. (1984): Ridit analysis, a review. STNE 38, 141–158MathSciNetzbMATHGoogle Scholar
  622. 612.
    Janssen, J., J.-F.Marcotorchino and J.-M.Proth (Eds.; 1983 ): New Trends in Data Analyses and Applications. (North-Holland; pp.274) AmsterdamGoogle Scholar
  623. 613.
    Jasso, Guillermina (1980): A new theory of distributive justice. American Sociological Review 45, 3–32CrossRefGoogle Scholar
  624. 614.
    Jazairi, N.T. (1983): The present State of the theory and practice of index numbers. Bull. Int. Statist. Inst. 50, 122–147MathSciNetzbMATHGoogle Scholar
  625. 615.
    Jeffers, J.N.R. (1982): Modelling. Outline Studies in Ecology. (Chapman and Hall; pp.80) London and New YorkGoogle Scholar
  626. 616.
    Jeffers, J.N.R. (1982): Forestry biometry - a review. Statist. Theory Practice ( Umeä, Sweden ), 305–325Google Scholar
  627. 617.
    Jeger, M. (1973): Einführung in die Kombinatorik. Bandl. (Klett; 218 S.) StuttgartGoogle Scholar
  628. 618.
    Jellinek, G. (1981): Sensorische Lebensmittelprüfung. Lehrbuch für die Praxis. (D & PS-Vlg.; 585 S.) Pattensen bei HannoverGoogle Scholar
  629. 619.
    Jensen, E.B., A.J.Baddeley, H.J.G.Gundersen and R. Sundberg (1985): Recent trends in sterology. INTR 53, 99–108zbMATHGoogle Scholar
  630. 620.
    Jesdinsky, H.J. und J.Trampisch (Hrsg.; 1985 ): Prognose- und Entscheidungsfindung in der Medizin. (Mediz. Informatik und Statist., Bd. 62) (Springer; pp. 524 ) Berlin, Heidelberg, New York, TokyoGoogle Scholar
  631. 621.
    Jessen, R.J. (1978): Statistical Survey Techniques. (Wiley; pp.520) New YorkGoogle Scholar
  632. 622.
    Jilek, M. (1981): A bibliography of Statistical tolerance regions. Mathematische Operationsforschung und Statistik, ser. statistics 12, 441–456MathSciNetzbMATHGoogle Scholar
  633. 623.
    Jilek, M. (1982): Sample size and tolerance limits. Trab. Estadist. 33, 64–78MathSciNetzbMATHCrossRefGoogle Scholar
  634. 624.
    Jilek, M. (1982): On errors of measurement. BIJL 24, 493–501MathSciNetzbMATHGoogle Scholar
  635. 625.
    Joe, H., J.A. Koziol and A. J. Petkau (1981): Comparison of procedures for testing the equality of survival distributions. BICS 37, 327–340zbMATHGoogle Scholar
  636. 626.
    Jockel, K - H. und P. Pflaumer (1981): Demographische Anwendungen neuerer Zeitreihenverfahren. Zeitschrift für Bevölkerungswissenschaft 7, 519–542Google Scholar
  637. 627.
    Jockel, K.-H. und B.Wolter (1984): Statistische Überlegungen zur Verlaufskurvenanalyse. EDVM 15, 100–106Google Scholar
  638. 628.
    Jöreskog, KG. (1981): Analysis of covariance structures. With discussion. Scandinavian Journal of Statistics 8, 65–92zbMATHGoogle Scholar
  639. 629.
    John, R.D. and J.Robinson (1983): Significance levels and confidence intervals for permutation tests. JSCS 16, 161–173zbMATHGoogle Scholar
  640. 630.
    Johnson, M. E. and V. W. Lowe (1979): Bounds on t h e sample skewness and kurtosis. TECS 21, 377–378Google Scholar
  641. 631.
    Johnson, N.L. and S.Kotz (1969,1970, 1972 ): Distributions in Statistics. I. Discrete Distributions. II. Continuous univariate Distributions, and 2. III. Continuous Multivariate Distributions. (Houghton Miffli and Wiley; pp.328; 300, 306; 333) New YorkGoogle Scholar
  642. 632.
    Johnson, N.L. and S.Kotz (1982): Developments in discrete distributions 1969-1980. INTR 50, 71 - 101zbMATHGoogle Scholar
  643. 633.
    Johnson, N.L. and B.L. Welch (1940): Applications of t h e noncentral /-distribution. BIKA 31, 362–389MathSciNetzbMATHGoogle Scholar
  644. 634.
    Johnson, R.A. and D.W.Wichern (1982): Applied Multivariate Statistical Analysis. (Prentice-Hall; pp. 594 ) Englewood Cliffs, N.J.Google Scholar
  645. 635.
    Joiner, B.L. (1981): Lurking variables: some examples. AMST 35, 227–233Google Scholar
  646. 636.
    Jonckheere, A.R. (1954): A distribution-free fc-sample test against ordered alternatives. BIKA 41, 133–145MathSciNetzbMATHGoogle Scholar
  647. 637.
    Jones, A.J. (1979): Game Theory. Mathematical Models of Conflict. (Halstead Press, Wiley; pp.309) New YorkGoogle Scholar
  648. 638.
    Jones-Lee, M.W. (Ed.; 1982 ): The Value of Life and Safety. (North-Holland; pp.310) AmsterdamGoogle Scholar
  649. 639.
    Kähler, W.-M. (1984): Einführung in das Datenanalysesystem SPSS. (Vieweg; 215 S.) Braunschweig, WiesbadenGoogle Scholar
  650. 640.
    Kahnemann, D., P.Slovic and A.Tversky (Eds.; 1982 ): Judgment under Uncertainty: Heuristics and Biases. (Cambridge Univ. Press; pp. 555) CambridgeGoogle Scholar
  651. 641.
    Kaila, K. L. (1980): A new method for linear curve fitting with both variables in error. SANB 42, 81–97MathSciNetGoogle Scholar
  652. 642.
    Kalbfleisch, J. D. and R. L. Prentice (1980): The Statistical Analysis of Failure Time Data. (Wiley; pp.321) New YorkGoogle Scholar
  653. 643.
    Kalbfleisch, J.G. (1979): Probability and Statistical Inference. I, II. (Springer; pp.342, 316) New York [2nd ed., pp.343, 360,1985]Google Scholar
  654. 644.
    Kalton, G. (1983): Models in the practice of survey sampling. INTR 51, 175–188Google Scholar
  655. 645.
    Kalton, G. (1983): Introduction to Survey Sampling. (Sage Publicat. Series 07-035; pp.96) Beverly Hills and LondonGoogle Scholar
  656. 646.
    Kalton, G. and H.Schuman (1982): The effect of t h e question on survey responses: a review. With discussion. JRSA145, 42–73Google Scholar
  657. 647.
    Kane, V.E. (1982): Standard and goodness-of-flt parameter estimation methods for the three-parameter lognormal distribution. CSTH 11, 1935–1957MathSciNetzbMATHGoogle Scholar
  658. 648.
    Kaner, H.C., S.G.Mohanty and J.C.Lyons (1980): Critical values of the Kolmogorov-Smirnov one-sample tests. PYBU 88, 498–501Google Scholar
  659. 649.
    Kardaun, O. (1983): Statistical survival analysis of male larynx-cancer patients - a case study. STNE 37, 103–125Google Scholar
  660. 650.
    Karlin, S., T.Amemiya and L.A.Goodman (Eds.; 1983 ): Studies in Econometrics, Time Series and Multivariate Statistics. (Academic Press; pp. 595) New York and LondonGoogle Scholar
  661. 651.
    Kay, R. (1977): Proportional hazard regression models and the analysis of censored survival data. APST 26, 227–237Google Scholar
  662. 652.
    Keating, J. P. and O. L. Hensley (1983): A note on the critical values of the Fmax-test. CSSM 12, 257–263zbMATHGoogle Scholar
  663. 653.
    Keel, A. (1982): Eine Verallgemeinerung des exakten Fisherschen Unabhängigkeitstests von 2 auf r dichotome Merkmale. Statistische Hefte 23, 333–340zbMATHCrossRefGoogle Scholar
  664. 654.
    Keeney, R.L. (1982): Decision analysis: an overview: Operations Research 30, 803–838Google Scholar
  665. 655.
    Kempthorne, O. (1976): Of what use are tests of significance and tests of hypothesis. CSTH A 5, 763–777MathSciNetGoogle Scholar
  666. 656.
    Kendall, M.G. (1968): Introduction to model building and its Problems. First paper in A.M.W. (?; Ed.): Mathematical Building in Economics and Industry. (CEIR Ltd., Conf. London July 1967) (Griffin; pp. 165) London, pp. 1–14Google Scholar
  667. 657.
    Kendall, M.G. and W.R. Buckland (1982): A Dictionary of Statistical Terms. 4th ed., revised and enlarged (Longman; pp.213) London and New YorkGoogle Scholar
  668. 658.
    Kendall, M.G., A.Stuart and J.K.Orth (1984): The Advanced Theory of Statistics: Vol. l. Distribution Theory. Vol.2. Inference and Relationship. Vol. 3. Design and Analysis and Time Series. Fourth edition. (Griffin; pp.484, 758, 790) LondonGoogle Scholar
  669. 659.
    Kenett, RS. (1983): On an exploratory analysis of contingency tables. STAN 32, 395–403Google Scholar
  670. 660.
    Kennedy, J.J. (1983): Analyzing Qualitative Data. (Praeger; pp.284) New YorkGoogle Scholar
  671. 661.
    Kennedy, W.J., Jr. and J.E.Gentle (1980): Statistical Computing. (M. Dekker; pp. 591) New YorkGoogle Scholar
  672. 662.
    Kenny, D.A. (1979): Correlation and Causality. (Wiley; pp.288) New YorkGoogle Scholar
  673. 663.
    Keren, G. (Ed.; 1982 ): Statistical and Methodological Issues in Psychology and Social Sciences Research. (Lawrence Erlbaum Associates; pp. 390 ) Hillsdale, New JerseyGoogle Scholar
  674. 664.
    Keselman, H. J. and Joanne C.Rogan (1977): The Tukey multiple comparison test: 1953-1976. PYBU 84, 1050–1056Google Scholar
  675. 665.
    Kessler, R.C. and D. F. Greenberg (1981): Linear Panel Analysis. Models of Quantitative Change. (Academic Press; pp.203) New York and LondonGoogle Scholar
  676. 666.
    Keuls, M. and F.Gerretsen (1982): Statistical analysis of growth curves in plant breeding. Euphytica 31, 51–64CrossRefGoogle Scholar
  677. 667.
    Keyfitz, N. and J. A.Beekman (1983): Demography through Problems. (Springer; pp. 240 ) New York, Heidelberg, BerlinGoogle Scholar
  678. 668.
    Keyfitz, N. and G. Littman (1979): Mortality in a heterogeneous population. Population Studies 33, 333–342Google Scholar
  679. 669.
    Khamis, S.H. (1983): Applications of index numbers in international comparisons and related concepts. Bull. Int. Statist. Inst. 50, 171–188Google Scholar
  680. 670.
    Kim, W., D.S.Reiner and D.S.Batory (Eds.; 1984 ): Query Processing in Database Systems. (Springer; pp. 339 ) Berlin, Heidelberg, New YorkGoogle Scholar
  681. 671.
    Kincannon, C.L. (Ed.; 1983 ): Statistical Abstract of the United States 1984. (US Dept. of Commerce, Bureau of the Census; pp. 1042 ) Washington, D.C.Google Scholar
  682. 672.
    King, M.L. (1981): The Durbin-Watson test for serial correlation: bounds for regressions with trend and/or seasonal dummy variables. Econometrica 49, 1571–1581MathSciNetzbMATHCrossRefGoogle Scholar
  683. 673.
    King, M.L. (1983): The Durbin-Watson test for serial correlation. Bounds for regressions using monthly data. J. Econometrics 21, 357–366zbMATHCrossRefGoogle Scholar
  684. 674.
    Kirk, R.E. (1982): Experimental Design: Procedures for the Behavioral Sciences. 2nd ed. (Wadsworth; pp. 911 ) Belmont, Calif.Google Scholar
  685. 675.
    Kish, L. (1978): Chance, statistics and statisticians. JASA 73, 1–6Google Scholar
  686. 676.
    Kish, L. and V. Verma (1983): Census plus samples: Combined uses and designs. Bull. Int. Statist. Inst. 50, 66–82Google Scholar
  687. 677.
    Kitagawa, Evelyn M. (1955): Components of difference between two rates. JASA 50, 1168–1194zbMATHGoogle Scholar
  688. 678.
    Kitagawa, Evelyn M. (1964): Standardized comparisons in population research. Demography 1, 296–315Google Scholar
  689. 679.
    Kläy, M. und H. Riedwyl (1984): ALSTAT1: Algorithmen der Statistik für Kleinrechner. ALSTAT 2: Algorithmen der Statistik für Hewlett-Packard HP-41C. (Birkhäuser; 248 und 171 S.) Basel, Boston, StuttgartGoogle Scholar
  690. 680.
    Klecka, W.R. (1980): Discriminant Analysis. (Sage Publicat. Series 07-019; pp. 70) Beverly Hills and LondonGoogle Scholar
  691. 681.
    Kleinbaum, D.G. and L.L. Kupper (1978): Applied Regression Analysis and Other Multivariable Methods. (Duxbury Press; pp. 556 ) North Scituate, Mass.Google Scholar
  692. 682.
    Kleinbaum, D.G., L.L.Kupper and H.Morgenstern (1982): Epidemiologie Research: Principles and Quantitative Methods. (Lifetime Learning Publications; pp. 529 ) Belmont, Calif.Google Scholar
  693. 683.
    Kleiner, B. and J.A. Hartigan (1981): Representing points in many dimensions by trees and Castles. JASA 76, 260–269 [Comments and rejoinder 269–295]Google Scholar
  694. 684.
    Kleiter, G.B. (1981): Bayes-Statistik. Grundlagen und Anwendungen, (de Gruyter; 569 S.) BerlinGoogle Scholar
  695. 685.
    Knafl, G., C. Spiegelman, J. Sacks and D. Ylvisaker (1984): Nonparametric calibration. TECS 26, 233–241MathSciNetGoogle Scholar
  696. 686.
    Knapp, T.R. (1978): Canonical correlation analysis. A general parametric signiflcance-testing system. PYBU 85, 410–416Google Scholar
  697. 687.
    Knapp, T.R. (1982): The birthday problem: some empirical data and some approximations. Teaching Statistics 4, 10–14CrossRefGoogle Scholar
  698. 688.
    Knoke, J.D. (1977): Testing for randomness against autocorrelation: alternative tests. BIKA 64, 523–529MathSciNetzbMATHGoogle Scholar
  699. 689.
    Knoke, J. D. (1982): Discriminant analysis with discrete and continuous variables. BICS 38, 191–200Google Scholar
  700. 690.
    Koch, G.G., I.A.Amara, M.E.Stokes and D.B.Gillings (1980): Some views on parametric and non-parametric analysis for repeated measurements and selected bibliography. INTR 48, 249–265zbMATHGoogle Scholar
  701. 691.
    Kochel, R (1983): Zuverlässigkeit technischer Systeme. (H.Deutsch; 156 S.) Thun und Frankfurt/Main [bzw. VEB Fachbuchverlag Leipzig]Google Scholar
  702. 692.
    Köhler, C.O., P.Tautu und G.Wagner (Hrsg.; 1984 ): Der Beitrag der Informationsverarbeitung zum Fortschritt der Medizin. (Mediz. Informatik und Statistik, Bd. 50) (Springer; 668 S.) Berlin, Heidelberg, New York, TokyoGoogle Scholar
  703. 693.
    Koehler, K.J. (1983): A simple approximation for the percentiles of the t distribution. TECS 25, 103–105Google Scholar
  704. 694.
    Köpcke, W. (1984): Zwischenauswertungen und vorzeitiger Abbruch von Therapiestudien. (Mediz. Informatik und Statist., Bd. 53) (Springer; 197 S.) Berlin, Heidelberg, New York, TokyoCrossRefGoogle Scholar
  705. 695.
    Kohlas, J. (1977): Stochastische Methoden des Operations Research. (Teubner; 192 S.) StuttgartGoogle Scholar
  706. 696.
    Konheim, A.G. (1981): Cryptography. A Primer. (Wiley; pp.450) New YorkGoogle Scholar
  707. 697.
    Koopman, P.A.R. (1984): Confidence intervals for the ratio of two binomial proportions. BICS 40, 513–517Google Scholar
  708. 698.
    Korhonen, M.P. (1982): On the Performance of some multiple comparison procedures with unequal variances. Scand. J. Statist. 9, 241–247zbMATHGoogle Scholar
  709. 699.
    Koslow, B.A. und I. A.Uschakow (1979): Handbuch zur Berechnung der Zuverlässigkeit für Ingenieure. (Hanser; 598 S.) MünchenGoogle Scholar
  710. 700.
    Kotz, S. and N.L.Johnson (1984): Effects of false and incomplete identification of defective items on the reliability of acceptance sampling. Operations Research 32, 575–583MathSciNetzbMATHCrossRefGoogle Scholar
  711. 701.
    Kotz, S., N.L.Johnson and C.B.Read (Eds.; 1982-1986): Encyclopedia of Statistical Sciences. Vol.I-VIII. (Wiley; approximately 5000 pages) New YorkGoogle Scholar
  712. 702.
    Kowalski, C.J. and K.E.Guire (1974): Longitudinal data analysis (with a selected bibliography of 225 entries and 11 classifications). Growth 38, 131–169Google Scholar
  713. 703.
    Koziol, J.A. (1984): VARCOV: A Computer program for the distribution- free analysis of growth and response curves. Computer Programs in Biomedicine 19, 69 - 74CrossRefGoogle Scholar
  714. 704.
    Koziol, J.A. and M.D.Perlman (1978): Combining independent chisquared tests. JASA 73, 753–763zbMATHGoogle Scholar
  715. 705.
    Kracke, H. (1983): Mathe-musische Knobelisken. Tüfteleien für Tüftler und Laien. 2. durchges. Aufl. (Dümmler; 445 S.) BonnGoogle Scholar
  716. 706.
    Kraemer, Helena C. (1980): Extension of the kappa coefficient. BICS 36, 207–216zbMATHGoogle Scholar
  717. 707.
    Krämer, H.L. (1983): Soziale Schichtung. Einführung in die modern Theoriediskussion. (M.Diesterweg; 140 S.) Frankfurt/M., Berlin, MünchenGoogle Scholar
  718. 708.
    Krauth, J. (1980): Nonparametric analysis of response curves. Journal of Neuroscience Methods 2, 239–252CrossRefGoogle Scholar
  719. 709.
    Krauth, J. (1982): Verteilungsfreie Homogenitätstests bei abhängigen Stichproben. PYBE 24, 601–619 [vgl. auch 26 (1984) 309-317]Google Scholar
  720. 710.
    Krauth, J. (1985): A comparison of tests for marginal homogeneity in square contingency tables. BIJL 27, 3–15MathSciNetzbMATHGoogle Scholar
  721. 711.
    Kremer, E. (1985): Einführung in die Versicherungsmathematik. (Vandenhoeck und Ruprecht; 159 S.) GöttingenGoogle Scholar
  722. 712.
    Kres, H. (1983): Statistical Tables for Multivariate Analysis. A Handbook with References to Applications. (Springer; pp. 504 ) New York, Berlin, Heidelberg, TokyoGoogle Scholar
  723. 713.
    Krewski, D. and C.Brown (1981): Carcinogenic risk assessment. A guide to the literature. BICS 37, 353–366MathSciNetzbMATHGoogle Scholar
  724. 714.
    Krewski, D., R. Platek and J. N. K. Rao (Eds.; 1981 ): Current Topics in Survey Sampling. (Academic Press; pp. 509) New YorkGoogle Scholar
  725. 715.
    Krippendorff, K. (1980): Clustering. Chapter 9 in P.R.Monge and J.N.Cappella (Eds.): Multivariate Techniques in Human Communication Research. (Academic Press; pp.552) New York and London, pp. 259–308Google Scholar
  726. 716.
    Krishnaiah, P.R. (General Ed.; 1980/88): Handbook of Statistics. Vol. 1-14, Vol l: Analysis of Variance (North-Holland; pp.1002, 904, 482, 936, 496) New York and AmsterdamGoogle Scholar
  727. 717.
    Krishnaiah, P.R. (General Ed.; 1980/88): Handbook of Statistics. Vol.2: Classification, Pattern Recognition and Reduction of Dimensionality (North-Holland; pp.1002, 904, 482, 936, 496) New York and Amsterdam.Google Scholar
  728. 718.
    Krishnaiah, P.R. (General Ed.; 1980/88): Handbook of Statistics. Vol. 3: Time Series in the Frequency Domain (North-Holland; pp.1002, 904, 482, 936, 496) New York and Amsterdam.Google Scholar
  729. 719.
    Krishnaiah, P.R. (General Ed.; 1980/88): Handbook of Statistics. Vol. 4: Nonparametric Methods through (North-Holland; pp.1002, 904, 482, 936, 496) New York and AmsterdamGoogle Scholar
  730. 720.
    Krishnaiah, P.R. (General Ed.; 1980/88): Handbook of Statistics. Vol. 5: Time Series in the Time Domain (North-Holland; pp.1002, 904, 482, 936, 496) New York and AmsterdamGoogle Scholar
  731. 721.
    Krishnaiah, P.R. (General Ed.; 1980/88): Handbook of Statistics. Vol. 6: Sampling bis (North-Holland; pp.1002, 904, 482, 936, 496) New York and AmsterdamGoogle Scholar
  732. 722.
    Krishnaiah, P.R. (General Ed.; 1980/88): Handbook of Statistics. Vol. 7: Quality Control and Reliability (North-Holland; pp.1002, 904, 482, 936, 496) New York and AmsterdamGoogle Scholar
  733. 723.
    Krishnaiah, P.R. (General Ed.; 1980/88): Handbook of Statistics. Vol. 8: Statistical Models in Biological and Medical Sciences (723.), Vol. 9-14: (not yet titled). (North-Holland; pp.1002, 904, 482, 936, 496) New York and AmsterdamGoogle Scholar
  734. 724.
    Kritzer, H.M. (1977): Analyzing measures of association derived from contingency tables. Sociological Methods and Research 5, 387–418CrossRefGoogle Scholar
  735. Kritzer, H.M.: Analyzing measures of association derived from contingency tables. Sociological Methods and Research 8 (1980), 420–433.CrossRefGoogle Scholar
  736. 725.
    Kroon, DE, J. and P. Van Der Laan (1983): A generalization of Friedman’s rank statistic. STNE 37, 1–14MathSciNetzbMATHGoogle Scholar
  737. 726.
    Krug, W. (1976): Quantifizierung des systematischen Fehlers in wirtschafts-und sozialstatistischen Daten. Dargestellt an der Statistik der Erwerbstätigkeit. (Duncker u. Humblot, 109 S.) BerlinGoogle Scholar
  738. 727.
    Krug, W. und M.Nourney (1982): Wirtschafts- und Sozialstatistik: Gewinnung von Daten. (Oldenbourg; 214 S.) München, WienGoogle Scholar
  739. 728.
    Kruskal, W.H. (1982): Criteria for judging Statistical graphics. Utilitas Mathematica 21B, 283–310MathSciNetGoogle Scholar
  740. 729.
    Kruskal, W. and F.Mosteller (1979/80): Representative Sampling, I-IV. INTR 47, 13–2 4, 111–127, 245–265; 48, 169–195Google Scholar
  741. 730.
    Krzanowski, W.J. (1980): Mixtures of continuous and categorical variables in discriminant analysis. BICS 36, 493–499zbMATHGoogle Scholar
  742. 731.
    Krzysko, M. (1982): Canonical analysis. BIJL 24, 211–228zbMATHGoogle Scholar
  743. 732.
    Kshirsagar, A.M. (1983): A Course in Linear Models. (M.Dekker; pp. 448) New YorkGoogle Scholar
  744. 733.
    Ku, H.H. (Ed.; 1969 ): Precision Measurement and Calibration. Selected NBS Papers on Statistical Concepts and Procedures. ( US Dept. Commerce, National Bureau of Standards; pp. 436) Washington, D. C.Google Scholar
  745. 734.
    Kudo, A. and J. S. Yao (1982): Tables for testing ordered alternatives in an analysis of variance without replications. BIKA 69, 237–238Google Scholar
  746. 735.
    Kübler, H. (1979): On the parameter of the three-parameter distributions: lognormal, gamma and Weibull. Statistische Hefte 20, 68–125zbMATHCrossRefGoogle Scholar
  747. 736.
    Küffner, H. und R. Wittenberg (1985): Datenanalyse für statistische Auswertungen. Eine Einführung in SPSS, BMDPund SAS. (G.Fischer; 289 S.) Stuttgart und New YorkGoogle Scholar
  748. 737.
    Kugel, P. (1977): Induction, pure and simple. Information and Control 35, 276–336MathSciNetzbMATHCrossRefGoogle Scholar
  749. 738.
    Kupper, L.L., J.M.Karon, D.G.Kjleinbaum, H.Morgenstern and D. K. Lewis (1981): Matching in epidemiologic studies: validity and efflciency considerations. BICS 37, 271–291MathSciNetzbMATHGoogle Scholar
  750. 739.
    Kurtz, A.K. and S.T.Mayo (1979): Statistical Methods in Education and Psychology. (Springer; pp.538) New YorkGoogle Scholar
  751. 740.
    Lachenbruch, P.A. (1975): Discriminant Analysis. (Hafner Press; pp.128) New YorkGoogle Scholar
  752. 741.
    Lachenbruch, P.A. (1983): Statistical programs for microcomputers. Byte 8, 460–570Google Scholar
  753. 742.
    Lachenbruch, P.A. and W.R.Clarke (1980): Discriminant analysis and its applications in epidemiology. MIME 19, 220–226Google Scholar
  754. 743.
    Lachenbruch, P.A. and M.Goldstein (1979): Discriminant analysis BICS 35, 69–85MathSciNetzbMATHGoogle Scholar
  755. 744.
    Lackritz, J.R. (1984): Exact p values for Fand t tests. AMST 38, 312–314Google Scholar
  756. 745.
    Lahey, A.L., RG.Downey and F.E.Saal (1983): Intraclass correlations: There’s more than meets the eye. PYBU 93, 586–595Google Scholar
  757. 746.
    Laisiepen, K, E.Lutterbeck und K.-H.Meyer-Uhlenried (1980): Grundlagen der praktischen Information und Dokumentation. 2. Völlig neubearb. Aufl. (Saur; 826 S.) MünchenGoogle Scholar
  758. 747.
    Lam, H.K. (1982): Bounded multinomial distribution. CSTH 11, 1869–1880zbMATHGoogle Scholar
  759. 748.
    Lam, H.K. and Y.-F.Ho (1985): On the bounded binomial distribution and its parameter estimation. CSSM 14, 43–53zbMATHGoogle Scholar
  760. 749.
    Lancaster, P. and M. Tismenetsky (1985): The Theory of Matrices. With Applications. 2nd ed. (Academic Press; pp.592) LondonGoogle Scholar
  761. 750.
    Land, K.C. and A.Rogers (Eds.; 1982 ): Multidimensional Mathematical Demography. (Academic Press; pp. 605) New YorkGoogle Scholar
  762. 751.
    Lane, P.W. and J.A.Nelder (1982): Analysis of covariance and standardization as instances of prediction. BICS 38, 613–621Google Scholar
  763. 752.
    Langeheine, R. (1980): Log-lineare Modelle zur multivariaten Analyse qualitativer Daten. Eine Einführung. (Oldenbourg; 124 S.) München, WienGoogle Scholar
  764. 753.
    Last, J.M. (Ed.; 1983 ): A Dictionary of Epidemiology. (IEA/WHO) (Oxford Univ. Press; pp. 114 ) New York, Oxford, TorontoGoogle Scholar
  765. 754.
    Laudan, L. (1977): Progress and Its Problems. Toward a Theory of Scientific Growth. (Univ. of Calif. Press; pp. 257) BerkeleyGoogle Scholar
  766. 755.
    Launer, R.L. and A.F.Siegel (Eds.; 1982): Modern Data Analysis (Academic Press; pp.201) New YorkGoogle Scholar
  767. 756.
    Launer, R.L. and G.N. Wilkinson (Eds.; 1979 ): Robustness in Statistics. (Academic Press; pp.320) New YorkGoogle Scholar
  768. 757.
    Laux, H. (1982): Entscheidungstheorie. Grundlagen. (Springer; 349 S.) Berlin, Heidelberg, New YorkGoogle Scholar
  769. 758.
    Laux, H. (1982): Entscheidungstheorie II. Erweiterung und Vertiefung. (Springer; 280 S.) Berlin, Heidelberg, New YorkGoogle Scholar
  770. 759.
    Law, A.M. (1983): Statistical analysis of Simulation Output data. Operations Research 31, 983–1029 (see also the other 8papers of this special issue,pp. 1030–1199)Google Scholar
  771. 760.
    LAW, A. M. and W. D. KELTON (1982): Simulation Modeling and Analysis. (McGraw-Hill; pp.400) New YorkGoogle Scholar
  772. 761.
    Lawless, J. F. (1982): Statistical Models and Methods for Lifetime Data. (Wiley-Interscience; pp.580) New YorkGoogle Scholar
  773. 762.
    Lawless, J.F. (1983): Statistical methods in reliability. With discussion. TECS 25, 305–335MathSciNetzbMATHGoogle Scholar
  774. 763.
    Lawrence, R.J. (1984): The lognormal distribution of the duration of strikes. JRSA147, 464–483Google Scholar
  775. 764.
    Lawson, A. (1983): Rank analysis of covariance: alternative approaches. STAN 32, 331–337Google Scholar
  776. 765.
    Lawson, J. S. (1982): Application of robust regression in designed industrial experiments. JQTE 14, 19–33Google Scholar
  777. 766.
    Leach, C. (1979): Introduction to Statistics. A nonparametric Approach for the social sciences. (Wiley; pp.339) New YorkGoogle Scholar
  778. 767.
    Lebart, L., A.Morineau and K.M. Warwick (1984): Multivariate Descriptive Statistical Analysis. Correspondence Analysis and Related Techniques for Large Matrices. (Wiley; pp.231) New YorkGoogle Scholar
  779. 768.
    Ledermann, W. and Emlyn Lloyd (Eds.; 1980 ): Handbook of Applicable Mathematics. Vol.II: Probability. (Wiley; pp.450) Chichester and New YorkGoogle Scholar
  780. 769.
    Ledermann, W. and Emlyn Lloyd (Eds.; 1984 ): Handbook of Applicable Mathematics. Vol.VI: Statistics. Parts A and B (Wiley; pp. 498 + Appendix + Index and pp. 942 + Appendix + Index) Chichester and New YorkGoogle Scholar
  781. 770.
    Lee, Elisa T. (1980): Statistical Methods for Survival Data Analysis. (Lifetime Learning Publications; pp. 557 ) Belmont, Calif. 94002Google Scholar
  782. 771.
    LEE, Y. S. (1972): Tables of upper percentage points of the multiple correlation coefficient. BIKA 59, 175–189zbMATHGoogle Scholar
  783. 772.
    Lehmacher, W. (1979): A new nonparametric approach to the comparison of fcindependent samples of response curves II: a ksample generalization of the Friedman test. BIJL 21, 123–130MathSciNetzbMATHGoogle Scholar
  784. 773.
    Lehmacher, W. (1980): Simultaneous sign tests for marginal homogeneity of Square contingency tables. BIJL 22, 795–798MathSciNetGoogle Scholar
  785. 774.
    Lehmann, E.L. (1983): Theory of Point Estimation. (Wiley; pp.506) New YorkGoogle Scholar
  786. 775.
    Lehmann, R. (1977): General derivation of partial and multiple rank correlation coefficients. BIJL 19, 229–236MathSciNetzbMATHGoogle Scholar
  787. 776.
    Leibbrand, D. (1984): Datenhaltung und Erfassung bei klinischen Studien. EDVM 15, 33–40Google Scholar
  788. 777.
    Leiner, B. (1978): Spektralanalyse ökonomischer Zeitreihen. Einführung in Theorie und Praxis moderner Zeitreihenanalyse. 2. erw. Aufl. (Gabler; 144 S.) WiesbadenGoogle Scholar
  789. 778.
    Leiner, B. (1982): Einführung in die Zeitreihenanalyse. (Oldenbourg; 141 S.) München und WienGoogle Scholar
  790. 779.
    Leiner, B. (1985): Stichprobentheorie. Grundlagen, Theorie und Technik. (R.Oldenbourg; 156 S.) München und WienGoogle Scholar
  791. 780.
    Lemeshow, S. and D.W.Hosmer (1981): A comparison of sample size determination methods in the two group trial where the underlying disease is rare. CSSM B 10, 437–449MathSciNetGoogle Scholar
  792. 781.
    Lenz, H.-J., G.B. Wetherill and P.TII.Wilrich (Eds.; 1981, 1984 ) Frontiers in Statistical Quality Control. Vol. l and 2. (Physica-Vlg.; pp.288 and 292) Würzburg and WienGoogle Scholar
  793. 782.
    Lepage, Y. (1977): A class of nonparametric tests for location and scale Parameters. CSTH A 6, 649–658MathSciNetGoogle Scholar
  794. 783.
    Lesaffre, E. (1983): Normality tests and transformations. Pattern Recognition Letters 1, 187 - 199CrossRefGoogle Scholar
  795. 784.
    Levenbach, H. and J.P.CLEARY (1981): The Beginning Forecaster: The Forecasting Process through Data Analysis. (Lifetime Learning Publications; pp. 372 ) Belmont, Calif.Google Scholar
  796. 785.
    Levenbach, H. and J.P.Cleary (1984): The Modern Forecasting Process Through Data Analysis. (Lifetime Learning Publications; pp. 450 ) Belmont, Calif. 94002Google Scholar
  797. 786.
    Levine, D.M., M.L.Berenson and D.Stephan (1983): (1) Using the SPSS Batch System with Basic Business Statistics. (2) Using the Statistical Analysis System (SAS) with Basic Business Statistics. (Prentice-Hall; pp. 69 and 83 ) Englewood Cliffs, New JerseyGoogle Scholar
  798. 787.
    Levy, K.J. (1980): Nonparametric applications of Shaffer’s extension of Dunnett’s procedure. AMST 34, 99–102Google Scholar
  799. 788.
    Lewis, J.A. (1983): Clinical trials: Statistical developments of practical beneflt to the pharmaceutical industry. With discussion. JRSA 146, 362–393CrossRefGoogle Scholar
  800. 789.
    Li, C.C. (1982): Analysis of Unbalanced Data. A Pre-Program Introduction. (Cambridge Univ. Press; pp. 145 ) Cambridge, London, New YorkGoogle Scholar
  801. 790.
    Li, L. and W.R.Schucany (1975): Some Properties of a test for concordance of two groups of rankings. BIKA 62, 417–423zbMATHGoogle Scholar
  802. 791.
    Liddell, F.D.K., J.C.Mcdonald and D.C.Thomas (1977): Methods of cohort analysis: Appraisal by application to asbestos mining. With discussion JRSA 140, 469–491Google Scholar
  803. 792.
    Liebetrau, A. M. (1983): Measures of Association. (Sage Publicat. Series 07-032; pp. 94) Beverley Hills and LondonGoogle Scholar
  804. 793.
    Lienert, G. A. (1973/78): Verteilungsfreie Methoden in der Biostatistik. 2.Aufl. (Bd.I und II; Tafelband) (A.Hain; 736S., 1246S., 686S.) Meisenheim am Glan 1973, 1978, 1975Google Scholar
  805. 794.
    Lienert, G.A., O.Ludwig and K.Rockenfeller (1982): Tables of the critical values for simultaneous and sequential Bonferroni-z-tests. BIJL 24, 239–255zbMATHGoogle Scholar
  806. 795.
    Lienert, G.A. and L. A. Marascuilo (1980): Comparing treatment-induced changes for k independent samples of paired observations. BIJL 22, 762 - 777Google Scholar
  807. 796.
    Likeš, J. and J. Laga (1980): Probabilities P(S s) f o r t h e Friedman statistic. BIJL 22, 433–440zbMATHGoogle Scholar
  808. 797.
    Lilienfeld, A.M. and D. E. Lilienfeld (1980): Foundation of Epidemiology. 2nd rev. ed. (Oxford Univ. Press; pp.400) New YorkGoogle Scholar
  809. 798.
    Lindeman, R.H., P.F.Merenda and Ruth Z.Gold (1980): Introduction to Bivariate and Multivariate Analysis. (Scott, Foreman and Company; pp. 444 ) Glenview, Illinois; Dallas, Texas;…, and LondonGoogle Scholar
  810. 799.
    Linder, A. und W. Berchtold (1976): Statistische Auswertung von Prozentzahlen. Probit- und Logitanalyse mit EDV. (Uni-Tb. Nr. 522) (Birkhäuser; 232 S.) Basel und StuttgartGoogle Scholar
  811. 800.
    Linder, A. und W.Berchtold (1982): Statistische Methoden III: MultivariateGoogle Scholar
  812. Verfahren. (UTB1189) (Birkhäuser; 218 S.) Basel, Boston, StuttgartGoogle Scholar
  813. 801.
    Lindley, D. V. (1978): The Bayesian approach. Scand. J. Statist. 5, 1–26MathSciNetzbMATHGoogle Scholar
  814. 802.
    Lindley, D. V., D. A. East and P. A. Hamilton (1960): Tables for making inferences about the variance of a normal distribution. BIKA 47, 433–437MathSciNetzbMATHGoogle Scholar
  815. 803.
    Linke, W. (1983): Drei Verfahren zur Vorausschätzung der Privathaushalte. Zeitschrift für Bevölkerungswissenschaft 9, 27–46Google Scholar
  816. 804.
    Little, R. J. A. (1982): Models for nonresponse in sample surveys. JASA 77, 237–250MathSciNetzbMATHGoogle Scholar
  817. 805.
    Little, R.J. A. and T.W.Pullum (1979): The general linear model and direct standardization. A comparison. Sociological Methods and Research 7, 475–501CrossRefGoogle Scholar
  818. 806.
    Long, J. S. (1983): Confirmatory Factor Analysis: A Preface to LISREL. (Sage Publicat. Series 07–033; pp. 88) Beverly Hills and LondonGoogle Scholar
  819. 807.
    Long, J.S. (1983): Covariance Structure Models: An Introduction to LISREL. (Sage Publicat. Series 07-034; pp.93) Beverly Hills and LondonGoogle Scholar
  820. 808.
    Looney, S.W. and T.R.Gulledge, Jr. (1985): Use of the correlation coefflcient with normal probability plots. AMST 39, 75–79 [cf. 236]Google Scholar
  821. 809.
    Lorenzi, R. (1981): Korrespondenzanalyse. Statistische Hefte 22, 176–194zbMATHCrossRefGoogle Scholar
  822. 810.
    LORR, M. (1983): Cluster Analysis for Social Scientists. Techniques for Analyzing and Simplifying Complex Blocks of Data. (Jossey-Bass; pp. 233 ) San Francisco, Washington, LondonGoogle Scholar
  823. 811.
    Louv, W.C. (1984): Adaptive filtering. TECS 26, 399–409MathSciNetzbMATHGoogle Scholar
  824. 812.
    Loyer, M. (1983): Bad probability, good statistics, and group testing for binomial estimation. AMST 37, 57–59Google Scholar
  825. 813.
    Lubin, J.H. (1981): An empirical evaluation of the use of conditional and unconditional likelihoods for case-control data. BIKA 68, 567–571MathSciNetGoogle Scholar
  826. 814.
    Lunneborg, C.E. and R.D. Abbott (1983): Elementary Multivariate Analysis for the Behavioral Sciences. Applications of Basic Structure. (Elsevier/North-Holland; pp. 522 ) New York, Amsterdam, OxfordGoogle Scholar
  827. 815.
    Lwin, T. and J.S.Maritz (1982): An analysis of the linear-calibration controversy from the perspective of Compound estimation. TECS 24, 235–242MathSciNetzbMATHGoogle Scholar
  828. 816.
    Maass, S. (1983): Statistik für Wirtschafts- und Sozialwissenschaftler I. Wahrscheinlichkeitstheorie. (Heidelberger TB, Bd.232) (Springer; 403 S.) Berlin, Heidelberg, New York, TokyoCrossRefGoogle Scholar
  829. 817.
    Maass, S., H.Mürdter und H.Ch.Riess (1983): Statistik für Wirtschafts-und Sozialwissenschaftler II. Induktive Statistik. (Heidelberger TB, Bd.233) (Springer; 360 S.) Berlin, Heidelberg, New York, TokyoCrossRefGoogle Scholar
  830. 818.
    Macdonald, J.S. and Leatrice Macdonald (1982): The Demography of Ageing. (Croom Helm; pp.320) LondonGoogle Scholar
  831. 819.
    Madhava Rao, K. S. and A. P. Gore (1982): Nonparametric tests for intercept in linear regression problems. Australian Journal of Statistics 24, 42–50MathSciNetzbMATHCrossRefGoogle Scholar
  832. 820.
    Madow, W.G., H.Nisselson, I.Olkin and D.B.Rubin (Eds.; 1984 ): Incomplete Data in Sample Surveys. Vol. 1: Report and Case Studies, Vol. 2: Theory and Bibliographies, Vol. 3: Proceedings of the Symposium. (Academic Press; pp.512, 608,440) New YorkGoogle Scholar
  833. 821.
    Mage, D.T. (1982): An objective graphical method for testing normal distributional assumptions using probability plots. AMST 36, 116–120Google Scholar
  834. 822.
    Magidson, J. (1982): Some common pitfalls in causal analysis of categorical data. Journal of Marketing Research 19, 461–471CrossRefGoogle Scholar
  835. 823.
    Maibaum, G. (1980): Wahrscheinlichkeitsrechnung. 3. Aufl. (H.Deutsch; 223 S.) Thun und Frankfurt/M.Google Scholar
  836. 824.
    Maindonald, J.H. (1984): Statistical Computation. (Wiley; pp.370) New YorkGoogle Scholar
  837. 825.
    Makridakis, S. and M.Hibon (1979): Accuracy of forecasting. An empirical investigation. With discussion. JRSA 142, 97–145CrossRefGoogle Scholar
  838. 826.
    Makridakis, S., S. C. Wheelwright and V.E.Mcgee (1983): Forecasting. Methods and Applications. 2nd ed. (Wiley; pp.944) New YorkGoogle Scholar
  839. 827.
    Malinowski, E.R. and D.G.Howe (1981): Factor Analysis in Chemistry. (Wiley; pp.251) New YorkGoogle Scholar
  840. 828.
    Mallows, C.L. (1979): Robust methods - some examples of their use. AMST 33, 179–184Google Scholar
  841. 829.
    Mallows, C.L. and J. W.Tukey (1982): An Overview of Techniques of Data Analysis, Emphasizing its Exploratory Aspects. In: Tiago di Oliveira, J. and B.Epstein (Eds.): Some Recent Advances in Statistics. (Academic Press; pp.248) London and New York, pp. 111–172Google Scholar
  842. 830.
    Mallows, C.L. and P.Walley (1980): A theory of data-analysis? Proceedings of the Business and Economics Statistics Section. American Statistical Association, 8–14Google Scholar
  843. 831.
    Mandel, J. (1982): Use of the singular value decomposition in regression analysis. AMST 36, 15–24.Google Scholar
  844. Mandel, J.: Use of the singular value decomposition in regression analysis. AMST 39 (1985), 63–66.Google Scholar
  845. 832.
    Mandel, J. (1984): Fitting straight lines when both variables are subject to error. JQTE 16, 1–1 4Google Scholar
  846. 833.
    Manski, C.F. and D.Mcfadden (Eds.; 1981 ): Structural Analysis of Discrete Data: With Econometric Applications. (The MIT Press; pp. 477 ) Cambridge, Mass.Google Scholar
  847. 834.
    Mantel, N. (1967): Ranking procedures for arbitrarily restricted observations. BICS 23, 65–78Google Scholar
  848. 835.
    Marascuilo, L.A. and J.R.Levin (1983): Multivariate Statistics in the Social Sciences - A Researcher’s Guide. (Brooks/Cole Publ. Comp.; pp. 530 ) Monterrey, Calif.Google Scholar
  849. 836.
    Marascuilo, L.A. and Maryellen Mcsweeney (1977): Nonparametric and Distribution-Free Methods for the Social Sciences. (Brooks/Cole; pp. 556 ) Monterey, Calif.Google Scholar
  850. 837.
    Marascuilo, L. A. and R. C. Serlin (1979): Tests a n d contrasts for comparing change parameters for a multiple McNemar data model. British Journal of Mathematical and Statistical Psychology 32, 105–112CrossRefGoogle Scholar
  851. 838.
    Marcus, Ruth (1981): Simultaneous confidence intervals for monotone contrasts of normal means. Australian Journal of Statistics 23, 214–223MathSciNetzbMATHCrossRefGoogle Scholar
  852. 839.
    Mardia, K.V. (1972): Statistics of Directional Data. (Acad. Press; pp.355) LondonGoogle Scholar
  853. 840.
    Mardia, K.V., J.T.Kent and J.M.Bibby (1979): Multivariate Analysis. (Academic Press; pp.521) LondonGoogle Scholar
  854. 841.
    Mardia, K.V. and P.J.Zenroch (1978): Tables of the F- and Related Distributions with Algorithms. (Academic Press; pp. 286) New YorkGoogle Scholar
  855. 842.
    Markus, G.B. (1979): Analyzing Panel Data (Sage Publicat. Series 07–018; pp.71) Beverley Hills and LondonGoogle Scholar
  856. 843.
    Marquardt, D.W. and R.D.Snee (1975): Ridge regression in practice. AMST 29, 3–2 0Google Scholar
  857. 844.
    Marriott, F.H.C. (1982): Optimization methods of Cluster analysis. BIKA 69, 417–421MathSciNetGoogle Scholar
  858. 845.
    Marsh, Catherine (1982): The Survey Method. The Contribution of Surveys to Sociological Explanation. (Allen and Unwin; pp. 180) LondonGoogle Scholar
  859. 846.
    Martin, Margaret E. (1981): Statistical practice in bureaucracies. JASA 76, 1–8Google Scholar
  860. 847.
    Martz, H.F. and R.A.Waller (1982): Bayesian Reliability Analysis. (Wiley; pp.745) New YorkGoogle Scholar
  861. 848.
    Maruyama, G. and B.Mcgarney (1980): Evaluating causal models: an application of maximum-likelihood analysis of structural equations. PYBU 87, 502–512Google Scholar
  862. 849.
    Maryanski, F.J. (1980): Digital Computer Simulation. (Hayden, pp. 336 ) Rochelle Park, NJ 07662zbMATHGoogle Scholar
  863. 850.
    Masing, W. (Hrsg.; 1980 ): Handbuch der Qualitätssicherung. (Hanser; 970 S.) MünchenGoogle Scholar
  864. 851.
    Mason, W.M. and S.E.Fienberg (Eds.; 1984 ): Cohort Analysis in Social Research: Beyond the Identification Problem. (Springer; pp. 400 ) Berlin, Heidelberg, New York, TokyoGoogle Scholar
  865. 852.
    Mather, K. and J.L.Jinks (1982): Biometrical Genetics. The Study of Continuous Variation. 3rd ed. (Chapman and Hall; pp.396) New YorkGoogle Scholar
  866. 853.
    Matthews, J.N.S. (1984): Robust methods in the assessment of multivariate normality. APST 33, 272–277Google Scholar
  867. 854.
    Maxwell, A.E. (1976): Analysis of contingency tables and further reasons for not using Yates correction in 2 x 2 tables. Canad. J. Statist. C 4, 277–290zbMATHCrossRefGoogle Scholar
  868. 855.
    Maxwell, A.E. (1977): Multivariate Analysis in Behavioral Research. (Chapman and Hall; pp.164) LondonGoogle Scholar
  869. 856.
    Maxwell, S.E. (1980): Pairwise multiple comparisons in repeated measures designs. EDUC 5, 269–287Google Scholar
  870. 857.
    Maxwell, S.E., H.D.Delaney and C.A.Dill (1984): Another look at ANCOVA versus blocking. PYBU 95, 136–147Google Scholar
  871. 858.
    Mccabe, G.P. (1984): Principal variables. TECS 26, 136–144MathSciNetGoogle Scholar
  872. 859.
    Mccleary, R. and R. A. Hay, Jr. (1980): Applied Time Series Analysis for the Social Sciences. (Stage Publications; pp. 330 ) Beverly Hills, Calif.Google Scholar
  873. 860.
    Mccormick, G.P. (1983): Nonlinear Programming: Theory, Algorithms, and Applications. (Wiley; pp.444) New YorkGoogle Scholar
  874. 861.
    Mccullagh, P. (1978): A class of parametric models for the analysis of square contingency tables with ordered categories. BIKA 65, 413–418zbMATHGoogle Scholar
  875. 862.
    Mccullagh, P. (1980): Regression models for ordinal data. With discussion. JRSB 42, 109–142MathSciNetzbMATHGoogle Scholar
  876. 863.
    Mccullagh, P. (1983): Quasi-likelihood functions. Annais of Statistics 11, 59–67MathSciNetzbMATHCrossRefGoogle Scholar
  877. 864.
    Mccullagh, P. and J.A.Nelder (1983): Generalized Linear Models. (Chapman and Hall; pp.280) LondonGoogle Scholar
  878. 865.
    McDoWall, D., R.McCleary, E. E. Meidinger and R.A.Hay, Jr. (1980): Interrupted Time Series Analysis. (Stage Publicat. Series 07–021; pp. 95) Beverly Hills and LondonGoogle Scholar
  879. 866.
    McGill, R., J.W.Tukey and W.A.Larsen (1978): Variations of box plots.AMST 32, 12–16Google Scholar
  880. 867.
    Mcintyre, S. H. and A. B. Ryans (1983): Task effects on decision quality in traveling salesperson problems. Organizational Behavior and Human Performance 32, 344–369CrossRefGoogle Scholar
  881. 868.
    McKinlay, Sonja M. (1977): Pair-matching. A reappraisal of a popular technique. BICS 33, 725–735Google Scholar
  882. 869.
    McLachlan, G.J. and S. Ganesalingam (1982): Updating a discriminant function on the basis of unclassified data. CSSM 11, 753–767zbMATHGoogle Scholar
  883. 870.
    McLaughlin, M.L. (1980): Discriminant Analysis in Communication Research. Chapter6 in P.R. Monge and J.N.Cappella (Eds.): Multivariate Techniques in Human Communication Research. (Academic Press; pp. 552) New York and London, pp. 175–204Google Scholar
  884. 871.
    McNeil, D.R. (1977): Interactive Data Analysis. (Wiley; pp.186) New York and LondonGoogle Scholar
  885. 872.
    McZynski, M. J. and P. K. Pathak (1980): Integration of surveys. Scand. J. Statist. 7, 130–138MathSciNetGoogle Scholar
  886. 873.
    Mead, R. and D.J.Pike (1975): A review of response surface methodology from a biometric viewpoint. BICS 31, 803–851zbMATHGoogle Scholar
  887. 874.
    Medhi, J. (1982): Stochastic Processes. (Wiley Eastern Limited, pp.387) New DelhiGoogle Scholar
  888. 875.
    Mee, R.W. and D.B.Owen (1983): A simple approximation for bivariate normal probabilities. JQTE 15, 72–75Google Scholar
  889. 876.
    Meeker, W.Q. and G.J.Hahn (1982): Sample sizes for prediction intervals. JQTE 14, 201–206Google Scholar
  890. 877.
    Mehta, C. R. and N. R. Patel (1983): A network algorithm for performing Fisher’s exacttest inrxccontingency tables. JASA78, 427–434Google Scholar
  891. 878.
    Meinert, C.L. (1985): Clinical Trials: Design, Conduct and Analysis. (Oxford Univ. Press; pp.512) New YorkGoogle Scholar
  892. 879.
    Menges, G. (1980): Adaptive Statistik. Statistische Hefte 21, 182–208MathSciNetzbMATHCrossRefGoogle Scholar
  893. 880.
    Menges, G. (1982): Die Statistik. Zwölf Stationen des statistischen Arbeitens. (Dr. Th.Gabler; 505 S.) WiesbadenGoogle Scholar
  894. 881.
    Mertens, P. (Hrsg.; 1981 ): Prognoserechnung. 4. erweit. Aufl. (Physica-Verlag; 364 S.) WürzburgGoogle Scholar
  895. 882.
    Meschkowski, H. (1984): Was wir wirklich wissen. Die exakten Wissenschaften und ihr Beitrag zur Erkenntnis. (Piper; 309 S.) München u. ZürichGoogle Scholar
  896. 883.
    Messerschmitt-Bölkow-Blohm GmbH (Hrsg.; 1977 ): Technische Zuverlässigkeit. Problematik, Mathematische Grundlagen, Untersuchungs-methoden, Anwendungen. 2. neubearb. Aufl. (Springer; 308 S.) HeidelbergGoogle Scholar
  897. 884.
    Messick, D. M. und J. P. Van De Geer (1981): A reversal paradox. PYBU 90, 582–593Google Scholar
  898. 885.
    Meyer, M. (1983): Operations Research. Systemforschung. Eine Einführung in die praktische Bedeutung. (Uni-Tb. 1231) (Fischer; 202 S.) StuttgartGoogle Scholar
  899. 886.
    Michael, J. R. (1983): The stabilized probability plot. BIKA 70,11 –17Google Scholar
  900. 887.
    Miettinnen, O. S. and E. F. Cook (1981): Confounding: essence and detection. AMEP 114, 593–603Google Scholar
  901. 888.
    Mike, V. and K.E.Stanley (Eds.; 1982 ): Statistics in Medical Research. Methods and Issues with Applications in Cancer Research. (Wiley; pp.551) New YorkGoogle Scholar
  902. 889.
    Miles, M.B. and A.M.Huberman (1984): Qualitative Data Analysis. (Sage; pp.256) Beverly Hills and LondonGoogle Scholar
  903. 890.
    Miller, A.J. (1984): Selection of subsets of regression variables. With discussion. JRSA 147, 389–425zbMATHCrossRefGoogle Scholar
  904. 891.
    Miller, A.R. (1981): BASIC Programs for Scientists and Engineers. (SYBEX; pp. 318 ) Berkeley, Paris, DüsseldorfGoogle Scholar
  905. 892.
    Miller, KS. (1980): Hypothesis Testing with Complex Distributions. (R. E. Krieger; pp. 184 ) Huntington, N. Y.Google Scholar
  906. 893.
    Miller, R. (1981): Survival Analysis. (Wiley-Interscience; pp.238) New YorkGoogle Scholar
  907. 894.
    Miller, R.E. and P.D.Blair (1985): Input-Output Analysis. Foundations and Extensions. (Prentice-Hall; pp. 448 ) Englewood Cliffs, N.J.Google Scholar
  908. 895.
    Miller, R.G., Jr. (1981): Simultaneous Statistical Inference. 2nd ed. (Springer; pp. 299 ) New York, Heidelberg, BerlinCrossRefGoogle Scholar
  909. 896.
    Milliken, G.A. and E.Johnson (1984): Analysis of Messy Data: Vol.I- Designed Experiments. (Lifetime Learning Publicat.; pp. 600 ) Belmont, Calif. 94002Google Scholar
  910. 897.
    Milton, J. S. and J. O. Tsokos (1983): Statistical Methods in the Biological and Health Sciences. (McGraw-Hill; pp.512) New YorkGoogle Scholar
  911. 898.
    Mohn, E. (1979): Confidence estimation of measures of location in the log normal distribution. BIKA 66, 567–575MathSciNetzbMATHGoogle Scholar
  912. 899.
    Monge, P.R. (1980): Multivariate Multiple Regression. Chapter2 in P.R.Monge and J.N.Cappella (Eds.): Multivariate Techniques in Human Communication Research. (Academic Press; pp.552) New York and London, pp. 13–56Google Scholar
  913. 900.
    Monge, P.R. and J.N.Cappella (Eds.; 1980 ): Multivariate Techniques in Human Communication Research. (Academic Press; pp.552) New York and LondonGoogle Scholar
  914. 901.
    Monlezun, C.J., D.C.Blouin and Linda C.Malone (1984): Contrasting split plot and repeated measures experiments and analyses. With comments. AMST 38, 21–31 (see also 331 - 332 )Google Scholar
  915. 902.
    Montgomery, D.C. and Elizabeth A.Peck (1982): Introduction to Linear Regression Analysis. (Wiley-Interscience; pp. 504) New YorkGoogle Scholar
  916. 903.
    Moore, P.G. (1983): The Business of Risk. (Cambridge Univ. Press; pp. 244) CambridgeGoogle Scholar
  917. 904.
    Moore, S.A. (1981): Calculating probabilities using recurrence relations. Teaching Statistics (Sheffied) 3, 43–47CrossRefGoogle Scholar
  918. 905.
    Moran, P. A.P. (1980): Calculation of the normal distribution function. BIKA 67, 675–677Google Scholar
  919. 906.
    Morettin, P.A. (1984): The Levinson algorithm and its applications in time series analysis. INTR 52, 83–92MathSciNetzbMATHGoogle Scholar
  920. 907.
    Morgan, B.J.T. (1981): Three applications of methods of clusteranalysis. STAN 30, 205–223Google Scholar
  921. 908.
    Morgan, B.J.T. (1984): Elements of Simulation. (Chapman and Hall; pp. 230) LondonGoogle Scholar
  922. 909.
    Morgan, B.J.T. and P. M. North (Eds.; 1985 ): Statistics in Ornithology. (Lecture Notes in Statistics, Vol. 29) (Springer; pp. 418 ) New York, Berlin, Heidelberg, TokyoGoogle Scholar
  923. 910.
    Morrison, A.S. (1985): Screening in Chronic Disease. (Oxford Univ. Press; pp. 182) New YorkGoogle Scholar
  924. 911.
    Morrison, D.F. (1983): Applied Linear Statistical Methods. (Prentice- Hall; pp. 562 ) Englewood Cliffs, N.J.Google Scholar
  925. 912.
    Morton, R.H. (1983): Response surface methodology. Math. Scientist 8, 31–52zbMATHGoogle Scholar
  926. 913.
    Moser, C. (1980): Statistics and public policy. JRSA143, 1–28Google Scholar
  927. 914.
    Moses, L.E. (1978): Charts for finding upper percentage points of Student’s / in the ränge.01 to.00001. CSSM B 7, 479–490Google Scholar
  928. 915.
    Mosteller, F. and J. W.Tukey (1968): Data Analysis, Including Statistics. In: Handbook of Social Psychology. G.Lindzey and E.Aronson (Eds.), 2nd ed., Chapter 10, pp. 80 /203. ( Addison-Wesley) Reading, Mass.Google Scholar
  929. 916.
    Mosteller, F. and J. W.Tukey (1977): Data Analysis a n d Regression. A Second Course in Statistics. (Addison-Wesley; pp. 588 ) Reading, Mass.Google Scholar
  930. 917.
    Mould, R.F. (1983): Cancer Statistics. (A.Hilger; pp.210) BristolGoogle Scholar
  931. 918.
    Müller, G.W. und T.Kick (1983): BASIC-Programme für die angewandte Statistik. 32 Programme für Kleincomputer. (Oldenbourg; 305 S.) München und WienGoogle Scholar
  932. 919.
    Müller, H.G. (1985): Nichtparametrische Regression für die Analyse von Verlaufskurven. In: Pflug, G.Ch. (Hrsg.; 1985): Neuere Verfahren der nichtparametrischen Statistik. (Mediz. Informatik und Statist. Bd.60) (Springer; 129 S.) Berlin, Heidelberg, New York, Tokyo; S. 88–108CrossRefGoogle Scholar
  933. 920.
    Müller, P.H. (Hrsg.; 1980 ): Lexikon der Stochastik. Wahrscheinlichkeitsrechnung und Mathematische Statistik. 3. ber. Aufl. (Akademie Vgl.; 445 S.) [4. unv. Aufl. 1983]Google Scholar
  934. 921.
    Müller, P.H., P. Neumann und Regina STORM (1977): Tafeln der mathematischen Statistik. 2. verb. Aufl. (C. Hanser; 275 S.) München und WienGoogle Scholar
  935. 922.
    Muller, K.E. (1982): Understanding canonical correlation through the general linear model and principal components. AMST 36, 342–354zbMATHGoogle Scholar
  936. 923.
    Mündel, A.B. (1984): G r o u p testing. JQTE 16, 181–188Google Scholar
  937. 924.
    Murdoch, J. (1979): Control Charts. (Macmillan; pp. 150) New YorkGoogle Scholar
  938. 925.
    Murphy, B.P. (1985): The microcomputer as the statistician’s mainframe. SSNL 11, 95–99Google Scholar
  939. 926.
    Muthen, Linda (1984): BMDP distributes a new structural equation program. SSNL 10, 37Google Scholar
  940. 927.
    Namboodiri, K. (1984): Matrix Algebra. An Introduction. (Sage Publicat. Series 07-038; pp.96) Beverly Hills and LondonGoogle Scholar
  941. 928.
    Namboodiri, N.K. (Ed.; 1978 ): Survey Sampling and Measurement. (Academic Press; pp. 364) New York and LondonGoogle Scholar
  942. 929.
    Narola, S.C. and J.F.Wellington (1982): The minimum sum of absolute errors regression: a State of the art survey. INTR 50, 317–326Google Scholar
  943. 930.
    Narula, S.C. (1978): Orthogonal polynomial regression for unequal spacing and frequencies. JQTE 10, 170–179Google Scholar
  944. 931.
    Narula, S.C. (1979): Orthogonal polynomial regression. INTR 47, 31–36zbMATHGoogle Scholar
  945. 932.
    Naus, J.L (1975): Data Quality Control and Editing. (M.Dekker; pp.216) New YorkGoogle Scholar
  946. 933.
    Neffendorf, H. (1983): Statistical packages for microcomputers. Alisting. AMST 37, 83–86Google Scholar
  947. 934.
    Neill, J.J. and O.J.Dunn (1975): Equality of dependent correlation coefficients. BICS 31, 531–543MathSciNetzbMATHGoogle Scholar
  948. 935.
    Neill, J.W. and D.E.Johnson (1984): Testing for lack of fit in regression- a review. CSTH 13, 485–511MathSciNetzbMATHGoogle Scholar
  949. 936.
    Nelder, J.A. (1980): Iterative weighted least squares, an algorithm for many occasions. In E.Diday et al. (Eds.): Data Analysis and Informatics. ( North-Holland Publ. Comp.) Amsterdam/New York, pp. 75–81Google Scholar
  950. 937.
    Nelder, J.A. (1982): Linear models and non-orthogonal data. Utilitas Mathematica 21B, 141–152MathSciNetGoogle Scholar
  951. 938.
    Nelson, L.S. (1977): Tables for testing ordered alternatives in an analysis of variance. BIKA 64, 335–338zbMATHGoogle Scholar
  952. 939.
    Nelson, L. S. (1979): Too many defectives in too short a time? JQTE 11, 160–161Google Scholar
  953. 940.
    Nelson, L.S. (1982): Extreme Screening designs. JQTE 14, 99–100Google Scholar
  954. 941.
    Nelson, L.S. (1983): Exact critical values for the analysis of means. JQTE 15, 40–44Google Scholar
  955. 942.
    Nelson, L.S. (1983): The deceptiveness of moving averages. JQTE 15, 99–100Google Scholar
  956. 943.
    Nelson, L.S. (1983): Expected normal scores, a useful transformation. JQTE 15, 144–146Google Scholar
  957. 944.
    NELSON, P.R. (1983): A comparison of sample sizes for the analysis of means and the analysis of variance. JQTE 15, 33–39Google Scholar
  958. 945.
    Nelson, P.R. (1983): The analysis of means for balanced experimental designs. (Computer Program). JQTE 15,45-54Google Scholar
  959. 946.
    Nelson, P. R. (1985): Power curves for the analysis of means. TECS 27, 65–73Google Scholar
  960. 947.
    Nelson, T.O. (1984): A comparison of current measures of the accuracy of feeling-of-knowing predictions. PYBU 95, 109–133Google Scholar
  961. 948.
    Nelson, W. (1970): Confidence intervals for the ratio of two Poisson means and Poisson predictor intervals. IEEE Transactions on Reliability R-19. No.2, 42–49Google Scholar
  962. 949.
    Nelson, W. (1970): A Statistical prediction interval for availability. IEEE Transactions on Reliability R-19, No. 4, 179–182Google Scholar
  963. 950.
    Nelson, W. (1972): Theory and applications of hazard plotting for censored failure data. TECS 14, 945–966Google Scholar
  964. 951.
    Nelson, W. (1978): Life data analysis for units inspected once for failure (quantal response data). IEEE Transactions on Reliability R-27, No. 4, 274–279Google Scholar
  965. 952.
    Nelson, W. (1982): Applied Life Data Analysis. (Wiley; pp.634) New YorkGoogle Scholar
  966. 953.
    Nerlove, M., D.M.Grether and J.L.Carvalho (1979): Analysis of Economic Time Series. A. Synthesis. (Academic Press; pp.468) New YorkGoogle Scholar
  967. 954.
    Nesselroade, J.R. and P.B.Baltes (Eds.; 1979 ): Longitudinal Research in the Study of Behavior and Development. (Academic Press; pp. 386 ) New York, London, TorontoGoogle Scholar
  968. 955.
    Neter, J. and W. Wasserman (1974): Applied Linear Statistical Models. Regression, Analysis of Variance and Experimental Design. (R.D.Irwin; pp. 842 ). Homewood, III.Google Scholar
  969. 956.
    Neter, J., W. Wasserman and M.H.Kutner (1983): Applied Linear Regression Models. (R.D.Irwin; pp. 547 ) Homewood, III.Google Scholar
  970. 957.
    Neuhaus, G. and E. Kremer (1981): Repeated chi-square testing. CSSM B 10, 143–161Google Scholar
  971. 958.
    Newbold, P. (1984): Some recent developments in time series analysis - II. INTR 52, 183–192MathSciNetzbMATHGoogle Scholar
  972. 959.
    Newell, D. (1982): The role of the statistician as an expert witness. With discussion. JRSA 145, 403–409, 426–438Google Scholar
  973. 960.
    Nichols, W.G. and J.D.Gibbons (1979): Parameter measures of skewness. CSSM B 8, 161–167MathSciNetGoogle Scholar
  974. 961.
    Nicolas, M. (1948): Ein unentbehrlicher Mittelwert. Statistische Praxis 3, 185–186Google Scholar
  975. 962.
    Niemann, H. (1979): Mustererkennung - Einführung und Übersicht. Informatik-Spektrum 2, 12–24Google Scholar
  976. 963.
    Niemann, H. (1980): Mustererkennung - Anwendungen. Informatik- Spektrum 3, 19–30Google Scholar
  977. 964.
    Niemann, H. (1983): Klassifikation von Mustern. (Springer; 340 S.) HeidelbergGoogle Scholar
  978. 965.
    Nishisato, S. (1980): Analysis of Categorical Data: Dual Scaling and Its Applications. (Math. Expos. No.24) (Univ. of Toronto Press; pp.276) TorontoGoogle Scholar
  979. 966.
    Nöbauer, W. und W. Timischl (1979): Mathematische Modelle in der Biologie. (Vieweg; 232 S.) Braunschweig und WiesbadenGoogle Scholar
  980. 967.
    Noelle-Neumann, Elisabeth und E.PIEL (Hrsg.; 1983 ): Eine Generation später. Bundesrepublik Deutschland 1953–1979. Institut für Demoskopie Allensbach. (Saur; 272 S.) München, New York, London, ParisGoogle Scholar
  981. 968.
    Norcliffe, G.B. (1981): Statistik für Geographen. Eine Einführung. Übers, v. T.Thyssen. (Springer; 250 S.) Berlin, Heidelberg, New YorkGoogle Scholar
  982. 969.
    Norton, R.W. (1980): Nonmetric Multidimensional Scaling in Communication Research: Smallest Space Analysis. ChapterlO in P. R. Monge and J. N. Cappella (Eds.): Multivariate Techniques in Human Communication Research. (Academic Press; pp.552) New York and London, pp. 309–331Google Scholar
  983. 970.
    Norton, V. (1983): A simple algorithm for Computing the non-central Fdistribution. APST 32, 84–85Google Scholar
  984. 971.
    Norusis, Marija (1983): SPSS-X Introductory Statistics Guide. (McGraw-Hill; pp.276) New YorkGoogle Scholar
  985. 972.
    Norusis, Marija (1985): SPSS-X Advanced Statistics Guide. (McGraw- Hill; pp. 320) New YorkGoogle Scholar
  986. 973.
    Nowak, W. (1980): Das Statistische Bundesamt. Ein Überblick über Aufgaben und Organisation. Wirtschaftswissenschaftliches Studium 9, 238–241Google Scholar
  987. 974.
    Oakes, D. (1983): Survival analysis. European Journal of Operational Research 12, 3–14MathSciNetzbMATHCrossRefGoogle Scholar
  988. 975.
    O’brien, R.G. and Mary Kister Kaiser (1985): MANOVA method for analyzing repeated measures designs: an extensive primer. PYBU 97, 316–333Google Scholar
  989. 976.
    Odeh, R. E. (1971): On Jonckheere’s fc-sample test against ordered alternatives. TECS 13, 912–918zbMATHGoogle Scholar
  990. 977.
    Odeh, R.E. (1972): On the power of Jonckheere’s fc-sample test against ordered alternatives. BIKA 59, 467–471MathSciNetzbMATHGoogle Scholar
  991. 978.
    Odeh, R.E. (1977): Extended tables of the distribution of Friedmans Sstatistic in the two-way layout. CSSM B 6, 29–48Google Scholar
  992. 979.
    Odeh, R.E. (1977): The exact distribution of Page’s L-statistic in the two-way layout. CSSM B 6, 49–61Google Scholar
  993. 980.
    Odeh, R. E. (1977): Extended tables of the distributions of rank statistics for treatment versus control in randomized block designs. CSSM B 6, 103–113Google Scholar
  994. 981.
    Odeh, R. E. (1982): Critical values of the sample product-moment correlation coefficient in the bivariate distribution. CSSM 11, 1–26MathSciNetzbMATHGoogle Scholar
  995. 982.
    Odeh, R.E. (1982): Tables of percentage points of the distribution of the maximum absolute value of equally correlated normal random variables. CSSM 11, 65–87MathSciNetzbMATHGoogle Scholar
  996. 983.
    Odeh, R. E. and D. B. Owen (1980): Tables for Normal Tolerance Limits, Sampling Plans, and Screening. (M.Dekker; pp.316) New YorkGoogle Scholar
  997. 984.
    Odeh, R. E. and D. B. Owen (1983): Attribute Sampling Plans, Tables of Tests and Confidence Limits for Proportions. (M.Dekker; pp.392) New YorkGoogle Scholar
  998. 985.
    O’Donovan, T.M. (Ed; 1983 ): Short Term Forecasting: An Introduction to the Box Jenkins Approach. (Wiley; pp.282) New YorkGoogle Scholar
  999. 986.
    Oehr, P. (1984): Tumormarker - Untersuchungen zum diagnostischen und prognostischen Wert. Medizinische Welt 35, 1504–1512Google Scholar
  1000. 987.
    Öksoy, D. and L.A.Aroian (1982): Tables of the Distribution of the Correlation Coefflcient. (Inst, of Administr. and Management, Union College; pp. 132 ) Schenectady, N.Y.Google Scholar
  1001. 988.
    Öksoy, D. and L.A.Aroian (1982): Percentage Points of the Distribution of the Correlation Coefflcient. (Inst, of Administr. and Management, Union College; pp. 128 ) Schenectady, N.Y.Google Scholar
  1002. 989.
    Ojima, Y. (1983): Robustness of four Standard methods for estimating the mean. JQTE 15, 89–93Google Scholar
  1003. 990.
    Oman, S.D. (1984): Analyzing residuals in calibration problems. TECS 26, 347–353MathSciNetzbMATHGoogle Scholar
  1004. 991.
    O’Muircheartaigh, C. and D.P.Francis (1981): Statistics: a dictionary of terms and ideas. (Arrow Book, The Anchor Press; pp. 295 ) Tiptree, EssexGoogle Scholar
  1005. 992.
    O’Muircheartaigh, C.A. and C.Payne (Eds.; 1977 ): The Analysis of Survey Data. I. Exploring Data Structures. II. Model Fitting. (Wiley; pp. 273, 255) New YorkGoogle Scholar
  1006. 993.
    Onukogu, I.B. (1984): An analysis of variance of nominal data. Statistica 44, 87–96MathSciNetGoogle Scholar
  1007. 994.
    O’Quigley, J. (1982): Regression models and survival prediction. STAN 31, 107–116Google Scholar
  1008. 995.
    Ord, J.K., G.P.Patil and C.Taillie (Eds.; 1979 ): Statistical Distributions in Ecological Work. (Internat. Co-operative Publ. House; pp. 464 ) Fairland, Md.Google Scholar
  1009. 996.
    Orloci, L. and N.C.Kenkel (1985): Introduction To Data Analysis. (International Co-operative Publ. House; pp. 340 ) Burtonsville, MDGoogle Scholar
  1010. 997.
    Orloci, L., C.Rrao and W.M.Stiteler (Eds.; 1979 ): Multivariate Methods in Ecological Work. (International Co-operative Publ. House; pp. 550 ) Burtonsville, MDGoogle Scholar
  1011. 998.
    Orth, B. (1975): Einführung in die Theorie des Messens. (Kohlhammer; 132 S.) StuttgartGoogle Scholar
  1012. 999.
    Osaki, S. and Y. Hatoyama (Eds.; 1984 ): Stochastic Models in Reliability Theory. Proc. Symp. Nagoya, Japan April 23-24,1984 (Lecture Notes in Economics and Mathematical Systems, Vol.235) (Springer; pp.212) Heidelberg and New YorkGoogle Scholar
  1013. 1000.
    Otis, D.L., K.P.Burnham, G.C.White and D.R.Anderson (1978): Statistical Inference from Capture Data on Closed Animal Populations. (Wildlife Monographs, No.62) (The Wildlife Society; pp.135) Office of Academic Affairs, University of Louisville, Kentucky 40208 and Washington D. C. [Corrections to Wildlife Monograph 62, J. Wildl. Manage. 44 (3) (1980), 666-667]Google Scholar
  1014. 1001.
    Ott, L. (1984): An Introduction to Statistical Methods and Data Analysis. 2nd ed. (Duxbury Press; pp. 775 ) Boston, Mass.Google Scholar
  1015. 1002.
    Overall, J.E. (1980): Power of chi-square tests for 2 x 2 contingency tables with small expected frequencies. PYBU 87, 132–135Google Scholar
  1016. 1003.
    Overall, J. E. (1980): Continuity correction for Fisher’s exact probability test. EDUC 5, 177–190 [cf. 351-362]Google Scholar
  1017. 1004.
    Overall, J. E. and R. R. Starbuck (1983): F-test alternatives to Fisher’s exakt test and to the chi-square test of homogeneity in 2 x 2 tables. EDUC 8, 59–73Google Scholar
  1018. 1005.
    Owen, D.B. (1968): A survey of properties and applications of the noncentral/-distribution. TECS 10, 445–478MathSciNetzbMATHGoogle Scholar
  1019. 1006.
    Owen, D.B. (Ed.; 1976 ): On the History of Statistics and Probability. (Proc. Symp. on the American Mathematical Heritage, Southern Methodist Univ., Dallas, Tex. 1974) (M.Dekker; pp. 468 ) New York, BaselzbMATHGoogle Scholar
  1020. 1007.
    Owen, D. B. and Loretta Li (1980): The use of cutting scores in selection procedures. EDUC 5, 157–168Google Scholar
  1021. 1008.
    Owen, D.B., Loretta Li and Y.-M.Chou (1981): Prediction intervals for Screening using a measured correlated variate. TECS 23, 165–170Google Scholar
  1022. 1009.
    Owen, G. (1982): Game Theory. 2nd ed. (Academic Press; pp.368) NewGoogle Scholar
  1023. 1010.
    Owen, W. J. and T. A. Derouen (1980): Estimation of t h e mean for lognormal data containing zeroes and left-censored values, with applications to the measurement of worker exposure to air contaminants. BICS 36, 707–719Google Scholar
  1024. 1011.
    Packel, E.W. (1981): The Mathematics of Games and Gambling. (The Mathematical Association of America; Wiley; pp.141) WashingtonGoogle Scholar
  1025. 1012.
    Pagano, M. and Katherine Taylor Halvorsen (1981): An algorithm for finding the exact significance levels of r x c contingency tables. JASA 76, 931–934zbMATHGoogle Scholar
  1026. 1013.
    Page, B. (1983): Der Gültigkeitsnachweis von komplexen Simulationsmodellen. Angewandte Informatik 25, 149–157Google Scholar
  1027. 1014.
    Page, E. (1982): Tables of waiting times for M/M/n, M/D/n and D/M/N and their use to give approximate waiting times in more general queues. J. Operational Res. Soc. 33, 453–473zbMATHGoogle Scholar
  1028. 1015.
    Pagel, M.D. and C.E.Lunneborg (1985): Empirical evaluation of ridge regression. PYBU 97, 342–355Google Scholar
  1029. 1016.
    Pagnoni, A. and G.Rozenberg (Eds.; 1983 ): Application and Theory of Petri Nets. (Informatik-Fachberichte, Vol. 66) (Springer, pp. 315 ) Berlin, Heidelberg, New York, TokyoGoogle Scholar
  1030. 1017.
    Pahnke, K. (1984): Repeated Measures Modelle (RMM). Auswertung mit SAS und BMDP. SSNL 10, 33–35Google Scholar
  1031. 1018.
    Palachek, A.D. and W.R.Schucany (1983): On the correlation of a group of rankings with an external ordering relative to the internal concordance. Statistics and Probability Letters, (Amsterdam) 1, 259–63zbMATHCrossRefGoogle Scholar
  1032. 1019.
    Pandit, S.M. and S.-M.Wu (1983): Time Series and System Analysis with Applications. (Wiley; pp.586) New YorkGoogle Scholar
  1033. 1020.
    Pankratz, A. (1983): Forecasting with Univariate Box-Jenkins Models: Concepts and Cases. (Wiley; pp.562) New YorkGoogle Scholar
  1034. 1021.
    Park, C.N. and RD.Snee (1983): Quantitative risk assessment: stateof- the-art for carcinogenesis. AMST 37, 427–441Google Scholar
  1035. 1022.
    Parker, R G. and R.L.Rardin (1983): The travelling salesman problem: an update of research. Naval Research Logistics Quarterly 30, 69–96MathSciNetzbMATHCrossRefGoogle Scholar
  1036. 1023.
    Parr, W.C. and W.R.Schucany (1980): The jackknife: a bibliography. INTR 48, 73–78MathSciNetzbMATHGoogle Scholar
  1037. 1024.
    Parzen, E. (1979): Non-parametric Statistical data modeling. JASA 74, 105–121 (and 121 - 131 )Google Scholar
  1038. 1025.
    Parzen, E. (1982): Data Modeling Using Quantile and Density-Quantile Functions. In: Tiago di Oliveira, J. and B.Epstein (Eds.): Some Recent Advances in Statistics. (Academic Press; pp.248) London and New York, pp. 23 - 52Google Scholar
  1039. 1026.
    PASSING, H. (1984): Exact simultaneous comparisons with control in a r x c contingency table. BIJL 26, 643–654MathSciNetzbMATHGoogle Scholar
  1040. 1027.
    Patefield, W.M. (1982): Exact tests for trends in ordered contingency tables. APST 31, 32–43MathSciNetzbMATHGoogle Scholar
  1041. 1028.
    Patel, J. K., C. H. Kapadia and D. B. Owen (1976): Handbook of Statistical Distributions. (M.Dekker; pp. 302 ) New York, BaselGoogle Scholar
  1042. 1029.
    Patel, J.K. and C.B.Read (1982): Handbook of t h e Normal Distribution (M. Dekker; pp.337) New York and BaselGoogle Scholar
  1043. 1030.
    Patil, G.P, M.T.Boswell, S.W.Joshi, M.V.Ratnaparkhi and J. J. J. Roux (1985): Dictionary and Classified Bibliography of Statistical Distributions in Scientific Work. Vol. l. Discrete Models, Vol. 2. Univariate Continuous Models, Vol. 3. Multivariate Models. (International Cooperative Publ. House; pp.458, 575,350) Burtonsville, MDGoogle Scholar
  1044. 1031.
    Patil, G.P. and M.L.Rosenzweig (Eds.; 1979 ): Contemporary Quantitative Ecology and Related Ecometrics. (International Co-operative Publ. House; pp. 695 ) Burtonsville, MDGoogle Scholar
  1045. 1032.
    Patnaik, K. B. (1949): The non-central x 1 - and F-distributions and their applications. BIKA 36, 202–232MathSciNetzbMATHGoogle Scholar
  1046. 1033.
    Patzak, G. (1982): Systemtechnik - Planung komplexer innovativer Systeme. Grundlagen, Methoden, Techniken. (Springer; 445 S.) Berlin, Heidelberg, New YorkCrossRefGoogle Scholar
  1047. 1034.
    Payne, J.A. (1982): Introduction to Simulation. Programming Techniques and Methods of Analysis. (McGraw-Hill; pp.324) New YorkGoogle Scholar
  1048. 1035.
    Payne, W.H. (1977): Normal random numbers: Using machine language to choose the best algorithm. ACM Transactions on Mathematical Software 3, 346–348zbMATHCrossRefGoogle Scholar
  1049. 1036.
    Pearce, S.C. (1983): The Agricultural Field Experiment. A Statistical Examination of Theory and Practice. (Wiley; pp.335) New YorkGoogle Scholar
  1050. 1037.
    Pearson, E. S. (1978): The History of Statistics in the 17th and 18th Centuries. (Griffin; pp.711) LondonGoogle Scholar
  1051. 1038.
    Pearson, E.S. and H.O.Hartley (Eds; 1970,1972): Biometrika Tables for Statisticians. Vol.I and II (At the University Press; pp.270 and pp.385) CambridgeGoogle Scholar
  1052. 1039.
    Pearson, E.S., M.Kendall and R.L.Plackett (Eds.; 1970, 1977 ): Studies in the History of Statistics and Probability. Vol. I and II (Griffin; pp.491, 582) London and High WycombeGoogle Scholar
  1053. 1040.
    Pearson, E. S. and N. W. Please (1975): Relations between the shape of population distribution and the robustness of four simple test statistics. BIKA 62, 223–241MathSciNetzbMATHGoogle Scholar
  1054. 1041.
    Peil, J. und E.Peschke (1984): Methodische Aspekte der Aufbereitung von Meßwerten tierexperimenteller Stoffwechseluntersuchungen. Gegenbaurs morph. Jahrb. 130, 531–555Google Scholar
  1055. 1042.
    Peil, J. und S.Schmerling (1984): Ein neues Verfahren zur Schätzung der Verteilung aus Meßwerten - dargestellt an morphometrischen Beispielen. Gegenbaurs morph. Jahrb. 130, 973-800 (vgl. auch 779-792)Google Scholar
  1056. 1043.
    Pendleton, O.J. (1985): Influential observations in the analysis of variance. CSTH 14, 551–565Google Scholar
  1057. 1044.
    Penfield, D. A. and S. L. KOFFLER (1978): Post hoc procedures for some k-sample nonparametric tests for scale. EDUC 3, 265–282Google Scholar
  1058. 1045.
    Pentico, D.W. (1981): On the determination and use of optimal sample sizes for estimating the difference in means. AMST 35, 40–42Google Scholar
  1059. 1046.
    Pereira, B. De B. (1977): Discriminating among separate models: a bibliography. INTR 45, 163–172zbMATHGoogle Scholar
  1060. 1047.
    Petermann, F. (1978): Veränderungsmessung. (Kohlhammer; 131 S.) Stuttgart [insbes. Kap. 9: Einzelfallbetrachtung]Google Scholar
  1061. 1048.
    Peterson, A. V. and L. D. Fisher (1980): Teaching the principles of clinical trials design and management. BICS 36, 687–697Google Scholar
  1062. 1049.
    Pettit, A.N., and M.A.Stephens (1977): The Kolmogorov-Smirnov goodness-of-flt statistics with discrete and grouped data. TECS 19, 205–210Google Scholar
  1063. 1050.
    Pfeffermann, D. and T.M.F.Smith (1985): Regression models for grouped populations in cross-section surveys. INTR 53, 37–59MathSciNetzbMATHGoogle Scholar
  1064. 1051.
    Pfeifer, Ch.G. and P.Enis (1978): Dorfman-type group testing for a modified binomial model. JASA 73, 588–592MathSciNetzbMATHGoogle Scholar
  1065. 1052.
    Pfohl, H.-Ch. (1985): Logistiksysteme. Betriebswirtschaftliche Grundlagen. (Springer; 250 S.) Berlin, Heidelberg, New York, TokyoGoogle Scholar
  1066. 1053.
    Pfohl, H.-Ch. und G.E.Braun (1981): Entscheidungstheorie. Normative und deskriptive Grundlagen des Entscheidens. (Vlg. Moderne Industrie; 516 S.) Landsberg am LechGoogle Scholar
  1067. 1054.
    Pilz, L. und P.Tautu (1983): Mathematische Modelle und ihre in numero Experimente in der Biologie. In C.O. Köhler u. a. (Hrsg.): Aktuelle Methoden der Information in der Medizin. Festschr. z. 65. Geburtstag v. Prof. Dr. med. Gustav Wagner, (ecomed; 243 S.) Landsberg/Lech, S. 83–109Google Scholar
  1068. 1055.
    Pitman, E.J.G. (1979): Some Basic Theory for Statistical Inference.(Chapman and Hall; pp.110) LondonGoogle Scholar
  1069. 1056.
    Plackett, R.L. (1981): Analysis of Categorical Data. 2nd rev. ed. (Griffin; pp.215) LondonGoogle Scholar
  1070. 1057.
    Plane, D. R. and K. R. Gordon (1982): A simple proof of the non-applicability of the Central Limit Theorem to finite populations. AMST 36, 175 + 176Google Scholar
  1071. 1058.
    Pocock, S.J. (1983): Clinical Trials. A Practical Approach. (Wiley; pp. 265) Chichester and New YorkGoogle Scholar
  1072. 1059.
    Pocock, S.J. and other conference participants (1982): Clinical trials. STAN 31, 1–142Google Scholar
  1073. 1060.
    Pocock, S.J., SheilaM. Gore and Gillian R.Kerr (1982): Long term survival analysis: the curability of breast cancer. SMED 1, 93–104Google Scholar
  1074. 1061.
    POKROPP, F. (1980): Stichproben - Theorie und Verfahren. (Athenäum-Vlg.; 255 S.) KönigsteinGoogle Scholar
  1075. 1062.
    Pollard, G.H. (1983): An analysis of classical and tie-breaker tennis. Austral. J. Statist. 25, 496–505MathSciNetzbMATHCrossRefGoogle Scholar
  1076. 1063.
    Pollard, R. (1985): Goal-scoring and the negative binomial distribution. The Mathematical Gazette 69, 45–47CrossRefGoogle Scholar
  1077. 1064.
    Pollock, K.H. (1981): Capure-recapture models allowing for agedependent survival and capture rates. BICS 37, 521–529zbMATHGoogle Scholar
  1078. 1065.
    Poole, R.W. (1974): An Introduction to Quantitative Ecology.(McGraw-Hill; pp.532) New York and DüsseldorfGoogle Scholar
  1079. 1066.
    Popper, K. R. (1982): Duldsamkeit und intellektuelle Verantwortlichkeit. In: Offene Gesellschaft - offenes Universum. Franz Kreuzer im Gespräch mit Karl R. Popper. (F.Deuticke; 118 S.) Wien, S. 103–116Google Scholar
  1080. 1067.
    Popper Shaffer, Juliet (1977): Multiple comparisons emphasizing selected contrasts: an extension and generalization of Dunnett’s procedure. BICS 33, 293–303MathSciNetzbMATHGoogle Scholar
  1081. 1068.
    Popper Shaffer, Juliet (1981): Complexity: an interpretability criterion for multiple comparisons. JASA 76, 395–401zbMATHGoogle Scholar
  1082. 1069.
    Potter, R. and G.W.Sturm (1981): The power of Jonckheere’s test. AMST 35, 249–250MathSciNetGoogle Scholar
  1083. 1070.
    Potthoff, G. (1981): Statistische Klasseneinteilung. Wissenschaftl. Ztschr. d. Hochschule für Verkehrswesen “Friedrich List ” Dresden 28, 1049–1054Google Scholar
  1084. 1071.
    Prakasa Rao, B.L.S. (1983): Nonparametric Functional Estimation. (Academic Press; pp. 522 ) Orlando, FloridaGoogle Scholar
  1085. 1072.
    Pratt, J. and J. D. Gibbons (1981): Concepts of Nonparametric Theory. (Springer; pp.480) New YorkGoogle Scholar
  1086. 1073.
    Preece, D.A. (1980): Covariance analysis, factorial experiments and marginality. STAN 29, 97–122Google Scholar
  1087. 1074.
    Preece, D.A. (1981): Distributions of final digits in data. STAN 30, 31–60Google Scholar
  1088. 1075.
    Preece, D.A. (1982): t is for trouble (and textbooks): a critique of some examples of the paired-samples t-test. STAN 31, 169–195Google Scholar
  1089. 1076.
    Preece, D.A. (1982): The design and analysis of experiments: what has gone wrong? Utilitas Mathematica 21A, 201–244MathSciNetGoogle Scholar
  1090. 1077.
    Pregibon, D. (1981): Logistic regression diagnostics. Annais of Statistics 9, 705–724MathSciNetzbMATHCrossRefGoogle Scholar
  1091. 1078.
    Press, S.J. (1982): Applied Multivariate Analysis: Using Bayesian and Frequentist Methods of Inference. 2nd ed. (R.E.Krieger; pp.600) FloridaGoogle Scholar
  1092. 1079.
    Presse- Und Informationsamt Der Bundesregierung (Hrsg.; 1982 ): Gesellschaftliche Daten 1982. Reihe: Berichte und Dokumentation. 356 S., BonnGoogle Scholar
  1093. 1080.
    Priestley, M.B. (1981): Spectral Analysis and Time Series. Univariate Series. (Academic Press; pp.736) LondonGoogle Scholar
  1094. 1081.
    Profos, P. (1984): Meßfehler. Eine Einführung in die Meßtheorie. (Teubner; 140 S.) StuttgartGoogle Scholar
  1095. 1082.
    Prunty, L. (1983): Curve fitting with smooth functions that are piecewise- linear in the limit. BICS 39, 857–866Google Scholar
  1096. 1083.
    Quednau, H.D. (1983): Anwendungsmöglichkeiten der automatischen Mustererkennung in der Biologie. Medizinische Welt 34, 659–665Google Scholar
  1097. 1084.
    Raktoe, B.L., A.Hedayat and W.T.Federer (1981): Factorial Design. (Wiley; pp.250) New YorkGoogle Scholar
  1098. 1085.
    Ralston, A., H.S.Wilf and Kenslein (Eds.; 1960, 1967, 1977 ): Mathematical Methods for Digital Computers. Voll-III. (Wiley; pp.293, 287, 454) New YorkGoogle Scholar
  1099. 1086.
    Ramig, Pauline F. (1983): Applications of the analysis of means. JQTE 15, 19–25Google Scholar
  1100. 1087.
    Ramirez, M.M. (1984): A modification to some proposed tests in relation to the problem of switching regression models. CSTH 13,901–914Google Scholar
  1101. 1088.
    Ramsay, P. H. (1981): Power of univariate pairwise multiple comparison procedures. PYBU 90, 352–366Google Scholar
  1102. 1089.
    Ramsay, P. H. (1982): Empirical power of procedures for comparing two groups on /? variables. EDUC 7, 139–156Google Scholar
  1103. 1090.
    Randles, R.H. and D.A.Wolfe (1979): Introduction to the Theory of Nonparametric Statistics. (Wiley; pp.450) New YorkGoogle Scholar
  1104. 1091.
    Rao, B.R. and RE. Enterline (1984): Interaction contrast disease rates for assessing synergism (or antagonism) in multifactor-multilevel disease risks. BIJL 26, 699–715MathSciNetGoogle Scholar
  1105. 1092.
    Rapoport, A. (1980): Mathematische Methoden in den Sozialwissenschaften. (Physica-Verlag; 377 S.) Würzburg und WienGoogle Scholar
  1106. 1093.
    Rasch, D. (1978, 1984 ): Einführung in die Mathematische Statistik. 2. Aufl. I. Wahrscheinlichkeitsrechnung und Grundlagen der mathematischen Statistik. II. Regressionsanalyse, Varianzanalyse und weitere Anwendungen. (VEB Dtsch. Vlg. d. Wissenschaften; 372 S., 400 S.) BerlinGoogle Scholar
  1107. 1094.
    Rasch, D. (Hauptautor; 1983 ): Biometrie. Einführung in die Biostatistik. (VEB Deutscher Landwirtschaftsverlag; 276 S.) BerlinGoogle Scholar
  1108. 1095.
    Rasch, D., G.Enderlein und G.Herrendörfer (1973): Biometrie. Verfahren, Tabellen, angewandte Statistik. (VEB Dtsch. Landwirtschaftsverlag; 390 S.) BerlinGoogle Scholar
  1109. 1096.
    Rasch, D., G.Herrendörfer, J.Bock und K.Busch (1978): Verfahrensbibliothek, Versuchsplanung und Auswertung. Bd. l und 2. ( VEB Deutscher Landwirtschaftsverlag; 1052 S.) BerlinGoogle Scholar
  1110. 1097.
    Rasch, D. and M.L.Tiku (Eds.; 1985 ): Robustness of Statistical Methods and Nonparametric Statistics. (D. Reidel; pp. 232) DordrechtGoogle Scholar
  1111. 1098.
    Ratkowsky, D. A. (1983): Non-Linear Regression Modelling: A Unifled Practical Approach. (M.Dekker; pp.276) New YorkGoogle Scholar
  1112. 1099.
    Rauhut, B., N.Schmitz und W.-W.Zachow (1979): Spieltheorie. Eine Einführung in die mathematische Theorie strategischer Spiele. (Teubner; 400 S.) StuttgartGoogle Scholar
  1113. 1100.
    Read, C.B. (1977): Partitioning chi-square in contingency tables: A teaching approach. CSTH A 6, 553–562MathSciNetGoogle Scholar
  1114. 1101.
    Read, C.B. (1978): Test of symmetry in three-way contingency tables. PYKA 43, 409–420MathSciNetzbMATHGoogle Scholar
  1115. 1102.
    Rehm, N. (1976): Die Ermittlung des privaten Verbrauchs. Ein neuer Beitrag zur Fehlertheorie. (F. Steiner; 149 S.) WiesbadenGoogle Scholar
  1116. 1103.
    Rehpenning, W. (1983): Multivariate Datenbeurteilung. Statistische Untersuchungen über krankheitsbedingte Lage- und Strukturveränderungen klinisch-chemischer Kenngrößen. (Mediz. Informatik Statist., Bd. 43) (Springer, 89 S.) Berlin, Heidelberg, New YorkGoogle Scholar
  1117. 1104.
    Reisig, W. (1982): Petrinetze. Eine Einführung. (Springer; 158 S.) Berlin, Heidelberg, New YorkGoogle Scholar
  1118. 1105.
    Reisig, W. (1984): Petri Nets. An Introduction. (EATCS Monogr. On Theoret. Comp. Sei., Vol.4) (Springer; pp.161) Heidelberg and New YorkGoogle Scholar
  1119. 1106.
    Rendall, F.J. and D.M.Wolf (1983): Statistical Sources and Techniques. (McGraw-Hill; pp. 245) LondonGoogle Scholar
  1120. 1107.
    Retzlaff, G., G.Rust und J.Waibel (1978): Statistische Versuchspla-nung. Planung naturwissenschaftlicher Experimente und ihre Auswertung mit statistischen Methoden. 2. verb. Aufl. (Verlag Chemie; 211 S.) Weinheim 1978Google Scholar
  1121. 1108.
    Reuter, A. und U.Reimer (1984): Knowledge Base Management System. Informatik-Spektrum 7, 44–45 und 173Google Scholar
  1122. 1109.
    Revenstorf, D. (1980): Faktorenanalyse. (Kohlhammer; 188 S.) StuttgartGoogle Scholar
  1123. 1110.
    Reynolds, H.T. (1977): The Analysis of Cross-Classifications. (The Free Press; pp. 236) New YorkGoogle Scholar
  1124. 1111.
    Rhoades, H.M. and J.E.Overall (1982): A sample size correction for Pearson chi-square in 2 x 2 contingency tables. PYBU 91, 418–423Google Scholar
  1125. 1112.
    Richards, W.D., Jr. (1980): Simulation. Chapter 15 in P.R.Monge and J. N. Cappella (Eds.): Multivariate Techniques in Human Communication Research. (Academic Press; pp.552) New York and London, pp. 455–487Google Scholar
  1126. 1113.
    Richardson, J. (Ed.; 1984 ): Models of Reality: Shaping Thought and Action. (Lomond; in conjunction with UNESCO; pp. 328 ) Mt. Airy, MarylandGoogle Scholar
  1127. 1114.
    Riedwyl, H. (1980): Graphische Gestaltung von Zahlenmaterial. 2. Aufl. UTB 4440 (P. Haupt; 167 S.) Bern und StuttgartGoogle Scholar
  1128. 1115.
    Rindskopf, D. (1984): Linear equality restrictions in regression and loglinear models. PYBU 96, 597–603Google Scholar
  1129. 1116.
    Ringland, J.T. (1983): Robust multiple comparisons. JASA 78, 145 - 151MathSciNetzbMATHGoogle Scholar
  1130. 1117.
    Ripley, B.D. (1983): Computer generation of random variables: a tutorial. INTR 51, 301–319MathSciNetzbMATHGoogle Scholar
  1131. 1118.
    Ripley, B.D. (1984): Spatial statistics: developments 1980-3. INTR 52, 141–150MathSciNetzbMATHGoogle Scholar
  1132. 1119.
    Rivett, P. (1980): Model Building for Decision Analysis. (Wiley; pp.172) New YorkGoogle Scholar
  1133. 1120.
    Roberts, F.S. (1979): Measurement Theory. With Applications to Decisionmaking, Utility and the Social Sciences. (Addison-Wesley; pp. 420 ) Reading, Mass.zbMATHGoogle Scholar
  1134. 1121.
    Roberts, H.V. and R.F.Ling (1983): Conversational Statistics with IDA. (McGraw-Hill; pp. 666) New YorkGoogle Scholar
  1135. 1122.
    Rochel, H. (1983): Planung und Auswertung von Untersuchungen im Rahmen des allgemeinen linearen Modells. (LFT Psychologie, Bd. 4) (Springer; 262 S.) Berlin, Heidelberg, New YorkCrossRefGoogle Scholar
  1136. 1123.
    Rocke, D.M. (1983): Robust Statistical analysis of interlaboratory studies. BIKA 70, 421–431MathSciNetGoogle Scholar
  1137. 1124.
    Rockhold, F.W. and S.J.Kilpatrick (1981): Methods of discrimination among stochastic models of the negative binomial distribution with an application to medical statistics. BIJL 23, 681–692Google Scholar
  1138. 1125.
    Rodgers, W.L. (1984): An evaluation of Statistical matching. Journal of Business and Economic Statistics 2, 91–102CrossRefGoogle Scholar
  1139. 1126.
    Roger, J. H. (1977): A signiflcance test for cyclic trends in incidence data. BIKA 64, 152–155zbMATHGoogle Scholar
  1140. 1127.
    Rogers, W.H. and J.W.Tukey (1972): Understanding some longtailed distributions. STNE 26, 211–226Google Scholar
  1141. 1128.
    Rogosa, D. (1980): Comparing nonparallel regression lines. PYBU 88, 307–321Google Scholar
  1142. 1129.
    Romesburg, H.Ch. (1984): Cluster Analysis for Researchers. (Lifetime Learning Publications; pp. 334 ) Belmont, Calif. 94002Google Scholar
  1143. 1130.
    Rosemann, H. (1981): Zuverlässigkeit und Verfügbarkeit technischer Anlagen und Geräte. Mit praktischen Beispielen von Berechnung und Einsatz in Schwachstellenanalysen. (Springer; 188 S.) HeidelbergGoogle Scholar
  1144. 1131.
    Rosenbaum, P.R. and D.B.Rubin (1985): Constructing a control group using multivariate matched sampling methods that incorporate the propensity score. AMST 39, 33–38MathSciNetGoogle Scholar
  1145. 1132.
    Rosenthal, R. (1984): Meta-Analytic Procedures for Social Research. (Sage: Appl. Soc. Res. Meth. Ser., Vol.6; pp.160) Beverly Hills and LondonGoogle Scholar
  1146. 1133.
    Rosenthal, R. and D.B.Rubin (1983): Ensemble-adjusted p values. PYBU 94, 540 - 541.Google Scholar
  1147. Rosenthal, R. and D.B.Rubin: Ensemble-adjusted p values. PYBU 97 (1985), 521–529]Google Scholar
  1148. 1134.
    Rosner, B. (1982): A generalization of the paired Mest. APST 31, 9–13zbMATHGoogle Scholar
  1149. 1135.
    Rosner, B. (1983): Percentage points for a generalized ESD many-outlier procedure. TECS 25, 165–172zbMATHGoogle Scholar
  1150. 1136.
    Ross, S.M. (1982): Stochastic Processes. (Wiley; pp.320) New YorkGoogle Scholar
  1151. 1137.
    Rossi, P.H., J.D.Wright and A.B.Anderson (Eds.; 1983 ): Handbook of Survey Research. (Academic Press; pp. 800) New York and LondonGoogle Scholar
  1152. 1138.
    ROTHERY, P. (1979): A nonparametric measure of intraclass correlation. BIKA 66, 629–639MathSciNetzbMATHGoogle Scholar
  1153. 1139.
    Rothman, K.J. (1976): Causes. AMEP 104, 587–592Google Scholar
  1154. 1140.
    Rothman, K.J. and J.D.Boice, Jr. (1982): Epidemiologie Analysis with a Programmable Calculator. 2nd ed. (The New England Epidemiology Institute; pp. 197) Chestnut Hill, PO Box 57, MA 02167Google Scholar
  1155. 1141.
    Royen, Th. (1984): Multiple comparisons of polynomial distributions. BIJL 26, 319–332MathSciNetzbMATHGoogle Scholar
  1156. 1142.
    Rubin, D.B., T.W.F.Stroud and Dorothy T.Thayer (1981): Fitting additive models to unbalanced two-way data. EDUC 6, 153–178Google Scholar
  1157. 1143.
    Rubinstein, R. Y. (1981): Simulation and the Monte Carlo Method. (Wiley;pp. 300) New YorkGoogle Scholar
  1158. 1144.
    Rudich, A. and W.Gerisch (1984): MOCAFICO - A Monte Carlo Computer program for the critical values of Fisher’s test on the signiflcance in harmonic analysis and of Cochran’s test on the homogeneity of variances. Computational Statistics Quarterly (Vienna) 1, 77–84zbMATHGoogle Scholar
  1159. 1145.
    Rümke, Chr. L. (1982): How long is the wait for an uncommon event? CHR0 35, 561–564Google Scholar
  1160. 1146.
    Rüppel, H. (1977): Bayes-Statistik. Eine Alternative zur klassischen Statistik. Archiv für Psychologie 129, 175–186Google Scholar
  1161. 1147.
    Rützel, E. (1979): Bayessches Hypothesentesten und warum Bayesianer Bias-ianer heißen sollten. Archiv für Psychologie 131, 211–232Google Scholar
  1162. 1148.
    Rupp, S. und K Schwarz (Hrsg.; 1983 ): Beiträge aus der bevölkerungswissenschaftlichen Forschung: Festschrift für Herrmann Schubness. (H. Boldt-Verlag; 592 S.) Boppard am RheinGoogle Scholar
  1163. 1149.
    Rustagi, J.S. and D.A.Wolfe (Eds.; 1982 ): Teaching of Statistics and Statistical Consulting. (Academic Press; pp.548) New YorkGoogle Scholar
  1164. 1150.
    Saaty, Th.L. and J.M.Alexander (1981): Thinking With Models. Mathematical Models in the Physical, Biological and Social Sciences. (Pergamon; pp.181) Oxford and New YorkGoogle Scholar
  1165. 1151.
    Sachs, L. (1982): Statistische Methoden. 5. neubearb. Aufl. (Springer; 124 S.) Berlin Heidelberg, New YorkGoogle Scholar
  1166. 1152.
    Sachs, L. (1983): Angewandte Statistik. Anwendung Statistischer Methoden. 6. neubearb. Aufl. (Springer; 552 S.) Berlin, Heidelberg, New YorkGoogle Scholar
  1167. 1153.
    Sachs, L. (1984): Applied Statistics. A Handbook of Techniques. 2nd ed. Translated from the German by Z. Reynarowych. (Springer Series in Statistics). (Springer; pp. 707 ) New York, Berlin, Heidelberg, TokyoGoogle Scholar
  1168. 1154.
    Särndal, C.E. (1974): A comparative study of association measures. PYKA 39, 165–187zbMATHGoogle Scholar
  1169. 1155.
    Sager, T.W. (1983): Estimating modes and isopleths. CSTH 12, 529–557zbMATHGoogle Scholar
  1170. 1156.
    Sahai, H. (1979): A bibliography on variance components. INTR 47, 177–222MathSciNetzbMATHGoogle Scholar
  1171. 1157.
    Sahai, H., A. I. Khuri, and C. H. Kapadia (1985): A second bibliography on variance components. CSTH 14, 63–115MathSciNetzbMATHGoogle Scholar
  1172. 1158.
    Sakarovitch, M. (1983): Linear Programming. (Springer; pp. 210 ) Berlin, Heidelberg, New YorkGoogle Scholar
  1173. 1159.
    Sampford, M.R. (1962): An Introduction to Sampling Theory. With Applications to Agriculture. (Oliver and Boyd; pp. 292) Edinburgh and LondonGoogle Scholar
  1174. 1160.
    Sampson, A. R. and R. L. Smith (1982): Assessing risks through the determination of rare event probabilities. Operations Research 30, 839–866zbMATHCrossRefGoogle Scholar
  1175. 1161.
    Sande, I.G. (1982): Imputation in surveys: coping with reality. AMST 36, 145–152Google Scholar
  1176. 1162.
    Sandvik, L. and Birgitta Olsson (1982): A nearly distribution-free test for comparing dispersion in paired samples. BIKA 69, 484–485Google Scholar
  1177. 1163.
    Savory, S.E. (Hrsg.; 1985 ): Künstliche Intelligenz und Expertensysteme. Ein Forschungsbericht der Nixdorf Computer AG. (R.01denbourg; 248 S; [Kap. 1 in engl. Spr.]) München und WienGoogle Scholar
  1178. 1164.
    Saw, J.G., M.C.K.Yang and T.C.Mo (1984): Chebyshev inequality with estimated mean and variance. AMST 38, 130–132MathSciNetGoogle Scholar
  1179. 1165.
    Sayers, B. (1981): The risk assessment of large technological systems. With discussion. Bull. Int. Statist. Inst. 49, 444–461Google Scholar
  1180. 1166.
    Schach, Elisabeth und S.Schach (1978): Pseudoauswahlverfahren bei Personengesamtheiten I: Namensstichproben. ASTA 62, 379-396Google Scholar
  1181. 1167.
    Schach, Elisabeth und S.Schach (1979): Pseudoauswahlverfahren bei Personengesamtheiten II: Geburtstagsstichproben. ASTA 63, 108–122Google Scholar
  1182. 1168.
    Schaefer, E. (1979): Zuverlässigkeit, Verfügbarkeit und Sicherheit in der Elektronik. (Vogel; 368 S. [182 Abb., 2farbig]) WürzburgGoogle Scholar
  1183. 1169.
    Schaefer, F. (ADM, Hrsg.; 1979 ): Muster - Stichproben - Pläne. (Vlg. Moderne Industrie; 160 S.) MünchenGoogle Scholar
  1184. 1170.
    Schafer, W.D. (1980): Assessment of dispersion in categorical data. Educational und Psychological Measurement 40, 179–183Google Scholar
  1185. 1171.
    Schaffranek, M. (1980): Wirtschafts- und Bevölkerungsstatistik. (Kohlhammer;206 S.) StuttgartGoogle Scholar
  1186. 1172.
    Schaich, E. (1983): Die Anwendung von Stichproben bei Inventuren. ASTA 67, 274–285Google Scholar
  1187. 1173.
    Scharf, J.-H. (1981): Möglichkeiten der mathematischen Formulierung von Wachstumsprozessen. Gegenbaurs morph. Jahrb. 127, 706–740Google Scholar
  1188. 1174.
    Scheaffer, R.L. (1980): Multiple comparisons for Poisson rates. JQTE 12, 94–97Google Scholar
  1189. 1175.
    Schechtman, Edna (1982): A nonparametric test for detecting changes in location. CSTH 11, 1475–1482Google Scholar
  1190. 1176.
    Scheffe, H. (1973): A Statistical theory of calibration. Annais of Statistics 1, 1–3 7MathSciNetGoogle Scholar
  1191. 1177.
    Schemper, M. (1981): Spezielle Verfahren und Programme zur statistischen Analyse zensierter Daten. EDVM12, 42-45 [vgl. auch 23-26]Google Scholar
  1192. 1178.
    Schemper, M. (1985): Statistical methods and programs for nonparametric analysis of pairs. SSNL 11, 128–129Google Scholar
  1193. 1179.
    Scherrer, G. und I. Obermeier (1981): Stichprobeninventur. Theoretische Grundlagen und praktische Anwendung. (Vahlen; 178 S.) MünchenGoogle Scholar
  1194. 1180.
    Schiller, Karla und E.Sonnemann (1981): Tests zum multiplen Niveau. Bemerkungen und Ergänzungen zu den HOLM-Prozeduren. Arbeitsber. d. Abtlg. Statistik d. Univ. Dortmund Nr. 10 (Mai 1981), 40 S.Google Scholar
  1195. 1181.
    Schilling, E.G. (1982): Acceptance Sampling in Quality Control. (M.Dekker; pp.775) New YorkGoogle Scholar
  1196. 1182.
    Schlesselman, J.J. (1982): Case Control Studies. Design, Conduct, Analysis. (Oxford Univ. Press; pp.354) New YorkGoogle Scholar
  1197. 1183.
    Schlittgen, R. (1979): Use of a median test for a generalized Behrens-Fisher problem. MEKA 26, 95–103MathSciNetzbMATHGoogle Scholar
  1198. 1184.
    Schlittgen, R. und B.H.J. Streitberg (1984): Zeitreihenanalyse. (R.Oldenbourg; 476 S.) München und WienGoogle Scholar
  1199. 1185.
    Schlörer, J. (1982): Outputkontrollen zur Sicherung statistischer Datenbanken. Informatik-Spektrum 5, 224–236Google Scholar
  1200. 1186.
    Schmeiser, B.W. (1980): Generation of variates from distribution tails. Operations Research 28, 1012–1017MathSciNetzbMATHCrossRefGoogle Scholar
  1201. 1187.
    Schmerling, S., J.Renne, W.Lenze und G.Bätz (1981): Probleme der Erweiterung der Prüfverteilungen des Maximum-Modulus-Testes und des Dunnett-Testes. BIJL 23, 29–40Google Scholar
  1202. 1188.
    Schmid, C.F. (1983): Statistical Graphics: Design, Principles and Practices. (Wiley; pp.224) New YorkGoogle Scholar
  1203. 1189.
    Schmid, C.F. and S.E.Schmid (1979): Handbook of Graphic Presentation. 2nd ed. (Ronald Press, Wiley; pp.308) New YorkGoogle Scholar
  1204. 1190.
    Schmitz, N. und F.Lehmann (1976): Monte-Carlo Methoden I: Erzeugen und Testen von Zufallszahlen. (A.Hain; 134 S.) Meisenheim am GlanGoogle Scholar
  1205. 1191.
    Schneeberger, H. (1971): Optimierung in der Stichprobentheorie durch Schichtung und Aufteilung. Unternehmensforschung 15, 240–254MathSciNetzbMATHCrossRefGoogle Scholar
  1206. 1192.
    Schneider, B. und U.Ranft (1978): Simulationsmethoden in der Medizin und Biologie. (Med. Inf. Stat., Bd. 8) (Springer; 496 S.) HeidelbergGoogle Scholar
  1207. 1193.
    Schöne, A. (1981): Prozeßrechnersysteme. Aufbau und Programmierung von Prozeßrechnern. Grundlagen und Verfahren ihrer Anwendung. (Hanser; 714 S.) München und WienGoogle Scholar
  1208. 1194.
    Schregensberger, J.W. (1982): Methodenbewußtes Problemlösen. Ein Beitrag zur Ausbildung von Konstrukteuren, Beratern und Führungskräften. (P.Haupt; 232 S.) Bern, StuttgartGoogle Scholar
  1209. 1195.
    Schumacher, J. und R. Vollmer (1981): Partnerwahl u n d Partnerbeziehung. Die Gravitation des Partnermarktes und ihre demographischen Folgen. Zeitschrift für BevölkerungsWissenschaft 7, 499–518Google Scholar
  1210. 1198.
    Schumacher, M. (1981): Power and sample size determination in survival time studies with special regard to the censoring mechanism. MIME 20, 110–115Google Scholar
  1211. 1199.
    Schumacher, R.B. (1981): Systematic measurement error. JQTE 13, 10–24Google Scholar
  1212. 1200.
    Schuman, H. and S. Presser (1981): Questions and Answers in Attitüde Surveys. Experiments on Question Form, Wording, and Context. (Academic Press; pp. 392) New York and LondonGoogle Scholar
  1213. 1201.
    Schwarz, H. (1975): Stichprobenverfahren. Ein Leitfaden zur Anwendung statistischer Schätzverfahren. (Oldenbourg; 194 S.) München und WienGoogle Scholar
  1214. 1202.
    Schwarz, K. (1982): Bericht 1982 über die demographische Lage in der Bundesrepublik Deutschland. Zeitschrift für Bevölkerungswissenschaft 8, 121–223Google Scholar
  1215. 1203.
    Schwarze, J. und J. Weckerle (Hrsg.; 1982 ): Prognoseverfahren im Vergleich. Anwendungserfahrungen und Anwendungsprobleme verschiedener Prognoseverfahren. (Prof. Dr. J. Schwarze, TU, Postf. 3329;220 S.) BraunschweigGoogle Scholar
  1216. 1204.
    Schwing, R.C. and W.R. Albers, Jr. (Eds.; 1980 ): Societal Risk Assessment. How Safe is Safe Enough? (Plenum Press; pp.372) New YorkGoogle Scholar
  1217. 1205.
    Scott, D.T., G.R.Bryce and D.M.Allen (1985): Orthogonalizationtriangularization methods in Statistical computation. AMST 39, 128–135zbMATHGoogle Scholar
  1218. 1206.
    Scott, D.W. (1979): On optimal and data-based histograms. BIKA 66, 605–610zbMATHGoogle Scholar
  1219. 1207.
    Searle, S.R. (1982): Matrix Algebra Useful for Statistics. (Wiley; pp.438) New YorkGoogle Scholar
  1220. 1208.
    Seber, G.A.F. (1982): Estimation of Animal Abundance and Related Parameters. 2nd rev. ed. (Griffin; pp.600) LondonGoogle Scholar
  1221. 1209.
    Seber, G.A.F. (1984): Multivariate Observations. (Wiley; pp.686) New YorkGoogle Scholar
  1222. 1210.
    Sen, A.R. (1983): Review of some important techniques in wildlife sampling and sampling errors. BIJL 25, 699–715zbMATHGoogle Scholar
  1223. 1211.
    Sen, I. and V.P.Prabhashanker (1980): Anomogram for estimating the three parameters of the Weibull distribution. JQTE 12, 138–143Google Scholar
  1224. 1212.
    Shaban, S.A. (1980): Change point problem and two-phase regression: an annotated bibliography. INTR 48, 83–93MathSciNetzbMATHGoogle Scholar
  1225. 1213.
    Shah, B. V. (1984): Software for survey data analysis. AMST 38, 68–69Google Scholar
  1226. 1214.
    Shapiro, S.H. and T.A.Louis (Eds.; 1983 ): Clinical Trials: Issues and Approaches. (M.Dekker; pp.209) New YorkGoogle Scholar
  1227. 1215.
    Shapiro, S.S. and C.W.Brain (1982): Recommended distributional testing procedures. Amer. J. Math. Manag. Sei. 2, 175–221zbMATHGoogle Scholar
  1228. 1216.
    Sherif, Y.S. (1982): Reliability analysis: optimal inspection and maintenance schedules for failing systems. Microelectron. Reliab. 22, 59–115CrossRefGoogle Scholar
  1229. 1217.
    Sherif, Y.S. and M.L.Smith (1981): Optimal maintenance models for systems subject to failure - a review. Naval Research Logistics Quarterly 28, 47–74MathSciNetzbMATHCrossRefGoogle Scholar
  1230. 1218.
    Sheynin, O.B. (1983): Corrections and short notes on my papers. Archive for History of Exact Sciences 28, 171–195MathSciNet