A Note on the Characterization of Zero-Inflated Poisson Model
نویسندگان
چکیده
منابع مشابه
Zero-inflated Poisson regression mixture model
Excess zeros and overdispersion are commonly encountered phenomena that limit the use of traditional Poisson regression models for modeling count data. The focus of this paper is on modeling count data in the case that a population has excess zero counts and also consists of several sub-populations in the non-zero counts. The proposed zero-inflated Poisson regression mixture model accounts for ...
متن کاملa new approach to credibility premium for zero-inflated poisson models for panel data
هدف اصلی از این تحقیق به دست آوردن و مقایسه حق بیمه باورمندی در مدل های شمارشی گزارش نشده برای داده های طولی می باشد. در این تحقیق حق بیمه های پبش گویی بر اساس توابع ضرر مربع خطا و نمایی محاسبه شده و با هم مقایسه می شود. تمایل به گرفتن پاداش و جایزه یکی از دلایل مهم برای گزارش ندادن تصادفات می باشد و افراد برای استفاده از تخفیف اغلب از گزارش تصادفات با هزینه پائین خودداری می کنند، در این تحقیق ...
15 صفحه اولZero-Inflated Poisson Factorization for Recommendation Systems
A recommendation system confronts two opposing problems. In order to be practical, recommendations systems need to be quick, efficient, and scale well in both computational complexity and memory cost [7, 23]. This is frequently achieved by reducing the dimensionality of the data [7]. For example, suppose we have N users, M items, and a review matrix R ∈ RN×M consisting of positive integer ratin...
متن کاملZero-Inflated Poisson and Zero-Inflated Negative Binomial Models Using the COUNTREG Procedure
Real-life count data are frequently characterized by overdispersion and excess zeros. Zero-inflated count models provide a parsimonious yet powerful way to model this type of situation. Such models assume that the data are a mixture of two separate data generation processes: one generates only zeros, and the other is either a Poisson or a negative binomial data-generating process. The result of...
متن کاملa study on insurer solvency by panel data model: the case of iranian insurance market
the aim of this thesis is an approach for assessing insurer’s solvency for iranian insurance companies. we use of economic data with both time series and cross-sectional variation, thus by using the panel data model will survey the insurer solvency.
ذخیره در منابع من
با ذخیره ی این منبع در منابع من، دسترسی به آن را برای استفاده های بعدی آسان تر کنید
ژورنال
عنوان ژورنال: Open Journal of Statistics
سال: 2015
ISSN: 2161-718X,2161-7198
DOI: 10.4236/ojs.2015.52017