Asymptotic Optimality of Fisher's Method of Combining Independent Tests II
From MaRDI portal
Publication:5674778
DOI10.2307/2284167zbMath0259.62022OpenAlexW4246835081MaRDI QIDQ5674778
Ramon C. Littell, J. Leroy Folks
Publication date: 1973
Full work available at URL: https://doi.org/10.2307/2284167
Related Items (36)
Combining independent tests of triangular distribution ⋮ Distribution of Fisher's combination statistic when the tests are dependent ⋮ Tests of independence and randomness based on the empirical copula process ⋮ On combining independent tests in case of conditional normal distribution ⋮ TFisher: a powerful truncation and weighting procedure for combining \(p\)-values ⋮ On the estimation of Spearman's rho and related tests of independence for possibly discontinuous multivariate data ⋮ Hypothesis setting and order statistic for robust genomic meta-analysis ⋮ A random walk through Canadian contributions on empirical processes and their applications in probability and statistics ⋮ Nonparametric Fusion Learning for Multiparameters: Synthesize Inferences From Diverse Sources Using Data Depth and Confidence Distribution ⋮ Power enhancement for testing multi-factor asset pricing models via Fisher's method ⋮ Signal-noise ratio of genetic associations and statistical power of SNP-set tests ⋮ Tests of independence and randomness for arbitrary data using copula-based covariances ⋮ Local power for combining independent tests in the presence of nuisance parameters for the normal distribution ⋮ Serial independence tests for innovations of conditional mean and variance models ⋮ An adaptively weighted statistic for detecting differential gene expression when combining multiple transcriptomic studies ⋮ Second order asymptotic and non-asymptotic optimality properties of combined tests ⋮ Power-Enhanced Simultaneous Test of High-Dimensional Mean Vectors and Covariance Matrices with Application to Gene-Set Testing ⋮ Fisher’s Combined Probability Test for High-Dimensional Covariance Matrices ⋮ Confidence distributions: a review ⋮ Combination of inductive Mondrian conformal predictors ⋮ A review of optimality of multivariate tests ⋮ On a fisherian detour of the step-down procedure for manova ⋮ A systematic comparison of methods for combining \(p\)-values from independent tests ⋮ A simple approximation for the distribution of the weighted combination of non-independent or independent probabilities ⋮ On the combination of transmission/disequilibrium test and mean test for linkage detection using affected sib pairs ⋮ Imputation of truncated \(p\)-values for meta-analysis methods and its genomic application ⋮ A resampling procedure for nonparametric combination of several dependent tests ⋮ Combining information from independent sources through confidence distributions ⋮ A test for equality of two exponential distributions ⋮ Combined tests for the homogeneity of Weibull (or extreme value) populations with censored data ⋮ A Geometric Perspective on the Power of Principal Component Association Tests in Multiple Phenotype Studies ⋮ Tests of serial dependence for multivariate time series with arbitrary distributions ⋮ Combining Univariate Tests for Multivariate Location Problem ⋮ A Bayesian method for combining statistical tests ⋮ On testing for independence between the innovations of several time series ⋮ Exact Bahadur slope for combining independent tests for normal and logistic distributions
This page was built for publication: Asymptotic Optimality of Fisher's Method of Combining Independent Tests II