Generalized p -values and generalized confidence regions for the multivariate Behrens-Fisher problem and MANOVA
2004
For two multivariate normal populations with unequal covariance matrices, a procedure is developed for testing the equality of the mean vectors based on the concept of generalized p-values. The generalized p-values we have developed are functions of the sufficient statistics. The computation of the generalized p-values is discussed and illustrated with an example. Numerical results show that one of our generalized p-value test has a type I error probability not exceeding the nominal level. A formula involving only a finite number of chi-square random variables is provided for computing this generalized p-value. The formula is useful in a Bayesian solution as well. The problem of constructing a confidence region for the difference between the mean vectors is also addressed using the concept of generalized confidence regions. Finally, using the generalized p-value approach, a solution is developed for the heteroscedastic MANOVA problem.
Keywords:
- Mathematics
- Econometrics
- Statistics
- Generalized integer gamma distribution
- Generalized linear mixed model
- Generalized p-value
- Generalized estimating equation
- Hierarchical generalized linear model
- Generalized linear array model
- Generalized additive model
- Generalized additive model for location, scale and shape
- Generalized mean
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