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استخدام التصميم الامثل - D لتجارب القطاعات غير الكاملة المتزنة بنفس المعلمات == Using The D - Optimal Design For The Unbalanced Incomplete Block Design With The Same Parameters

Author name: غياث حميد مجيد
Supervisor name: عماد حازم عبودي
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Baghdad
First pages:
Abstract: تهتم هذه الرسالة بالخصائص الاحصائية للتصاميم التجريبية وكيفية اختزال وتقليل الخطا التجريبي في التجربة وذلك باستخدام التصميم الامثل. وقد تم استخدام التصميم الامثل من النوع امثل D - (D - Optimal)، اذ ان امثلية D - تكون مقاسـة بالقيمة المتوقعة لمحددة م | This study deals with the statistical features of the experimental designs and how to cancel and reduce the Experimental Error of the experiment through using the Optimal Design. The Optimal Design of D - Optimal has been adopted. The D - Optimal has been measured by the expected value for the determinant matrices of data for the adopted experimental design and reduce that value to its minimum. The data has been used in designing the Unbalanced Incomplete Block Designs (UIBD). The study comprises four chapters. Each chapter contains many sections that include the contents of these chapters, the first chapter contains the introduction and the aim of the study with a historical view for some other similar studies and some general affairs. The second one includes the theoretical background which concerns the Unbalanced Incomplete Block Design and the optimal designs. The third chapter deals with the application of the experiment by taking data for an agricultural experiment to studying the effect of six kinds of manures on a plant and by using the D - optimal design for the experiment on three types of information matrix. Finally, the fourth chapter deals with the conclusions and the recommendations which have been arrived at as a result of the experiment

تحديد افضل اسلوب تمهيدي حصين لتقدير انموذج انحدار لا معلمي مع تطبيق عملي == Determination of The Best Robust Smoothing Technique To Estimate A Nonparametric Regression Model With Practical Application

Author name: غياث حميد مجيد
Supervisor name: فارس طاھر حسن الكواز
Specific topic: Statistics
Degree: Doctorate
Language: Arabic
University location: Baghdad
First pages:
Abstract: لقد شهدت طرائق تقدير نماذج الانحدار اللامعلمي في السنوات الماضية توسعا كبيرا، ويعزى ذلك التوسع الى توصل الباحثين الى صعوبة مواكبة الطرائق المعلمية المستعملة في تقدير نماذج الانحدار بسبب المرونة المطلوبة عند تحليل البيانات سواء كانت البيانات كمية ام نوعي | In the past many years, the methods of estimating nonparametric regression models have been witnessed a significant expansion, due to the researchers reach difficulties to cope with use of the parametric methods in estimating of regression methods because of the desired flexibility during data analysis whether being qualitative or quantitative. But this expansion in the field of estimating nonparametric regression models come up with the major development in the hardware and software of computers, which leads to development of nonparametric regression methods and one of the most important methods is smoothing methods.In this research, the study takes different types of smoothing methods which include Kernel Smoothing and Smoothing Splines and their significant role in estimation of nonparametric regression models to describe the relationship between the explanatory variables and response variable. The researcher employs the concept of Robustness in the smoothing methods that have been adopted in this research, by using three types of smoothing methods which are Local Polynomial Kernel (LPK), Penalized Spline (PS) and Spline Regression (SR) which ends up with robust smoothing methods which are, Robust LPK, Robust PS, and Robust SR.Many issues may face the researcher while smoothing nonparametric regression models, such as data includes outliers. This leads to use the robust methods when smoothing the nonparametric functions. To do this certain methods of robust nonparametric regression has been used instead of some suggested methods in case of outliers exists in data. Therefore, the aim of this dissertation is to estimate the nonparametric regression model using robust smoothing methods and making comparisons between different methods. The researcher took the most useful researches deals with this subject such as robust methods that use these methods to estimate nonparametric regression model, and apply them in two fields, experimental and practical, in experimental field we use the simulation technique to have constant data that simulate the real data that use it in practical field. In practical field real data has been taken from Iraqi Stock Market especially the data about Al - Khaliej Insurance Company, the response variable represents the Close Price for Stock and the elementary variable is the Trading Volume. Also, the researcher suggested some of the most important conclusion drawn from experimental and practical fields in addition to some recommendations that can be adopted in future studies

بناء انموذج السيطرة على الخزين في ظل ضبابية الطلب وفترة الانتظار مع تطبيق عملي

Author name: غسق محمد عبد
Supervisor name: حامد سعد نور الشمرتي
Specific topic: Operations Research
Degree: Master
Language: Arabic
University location: Baghdad
First pages:
Abstract: واضح ان موضوع السيطرة على المخزون له اهمية واهتمام من كثيرين لكونه يتميز بطابع الشمول, اذ تكاد تكون قائمة المخزون في الوقت الحالي لانهائية , وكذلك تواجه اي ادارة او مؤسسة صعوبات في اتخاذ القرار لتحديد كمية المخزون وذلك لكي تحقق توازنا بين كلفة المخزون وا | It is clear that the subject of the control of the inventory has to be attached and the interest of many, because it is characterized by inclusiveness,as are almost infinite inventory, and also facing any administration or difficulties foundation in decision - making to determine the amount of inventory in order to achieve a balance between the cost of inventory and keep it in exchange for the cost of disabling the plant or the cost of the loss of profit due to the loss of the goods required by the cusomers , not to mention when he discovers the environment under study fuzzy because of the accuracy of the data or similarity somewhat or change continuously.It has been in this letter build a mathematical model using linear programming misty figures fuzzy function trigonometric tracking three products (oil, White, jet fuel, grease) and for quarterly and one year (2014) was to address motion blur using the method of integrative representation of the average gradient and then solving the specimen through direct compensation the cost of production and actual inventories in the goal of the specimen proposed and to find the total cost and compare it with the cost of winning the college from the specimen after being admitted as a model linear programming in turnkey program (WIN QSB) function turned out that the total extracted cost by less than the actual total cost of the program and this Matsay him company, which reduce costs or at least achieve a balance between the cost of inventory and keep it in exchange for the cost of disabling the plant or the cost of the loss by the loss of material in the case of demand

تطبيق اساليب الخوارزميات الجينية ومقارنته مع اساليب البرمجة الخطية الضبابية : دراسة تطبيقية == Application of Genetic Algorithms & Comparing With Fuzzy Linear Programming \Applied Study

Author name: غسان عدنان محمود الزبيدي
Supervisor name: عبد الرحمن حامد الحسيني
Specific topic: Operations Research
Degree: Master
Language: Arabic
University location: Baghdad
First pages:
Abstract: الهدف من هذه الدراسة هو مقارنة اسلوب الخوارزميات الجينية في عملية اتخاذ القرار عند وجود قرارات متعددة مع الطريقة الضبابية متعددة الاهداف، اذ تستند عملية اتخاذ القرار عند وجود قرارات متعددة الى ايجاد البديل الامثل ( او مجموعة بدائل) من بين البدائل المتاحة | The Application of Genetic Algorithms in multiple decisions making is the main purpose of this study. The subject is important in many topics such as production operations, industrial processes, Engineering and so forth. For many such problems decision making is the process of selecting an optimal from all the alternative available alternatives. Because of the important of the lather industrial methods are used for State Company Lather Industrial productions to meet the needs of the lather products and to achieve the following objectives : 1 - To increase the profit of products.2 - To increase the seals of products.A single objective mathematical model had been built to each aim of the problem aims after words; a multiple objective mathematical model was built using the methods : 1 - Multiple objectives fuzzy method.2 - Genetic Algorithms method. The models are solved using (WinQSB - 98), so the Genetic Algorithms method is chosen as the best method

التنبــؤ بالارقام القياسية لاسعار المستهلك في العراق == Forecasting The Consumer Price Index Number In Iraq

Author name: غادة مصطفى عطا
Supervisor name: احمد ذياب احمد العزاوي
Specific topic: Applied Statistics
Degree: Higher Diploma
Language: Arabic
University location: Baghdad
First pages:
Abstract: يعد الرقم القياسي لاسعار المستهلك واحدا من اكثر الادوات الاحصائية استعمالا لقياس التضخم في اقتصاد اي بلد، والهدف الرئيسي من احتساب هذا الرقم القياسي هو رصد التغيرات التي تطرا على اسعار السلع والخدمات وذلك لتقدير التغير في القوة الشرائية لوحدة النقود وم | The Consumer Price Index (CPI) is one of the most widely used statistical tools to measure inflation in a country’s economy, the main objective of calculating this index is to monitor changes in the prices of goods and services in order to estimate the change in the purchasing power of money and the subsequent amendment to the wages and the prices on some services to ensure the stability of their purchasing power.Iraq's economy has been suffering for a long time of continuous increase in most of goods and services prices in the local market due to internal and external many factors which led to the deterioration in economic development and have negative impact on economic and social life of consumers specially those who have fixed and limited income، therefore Knowledge of the movement and trends in prices of goods and services in the future will help the planners and decision - makers to put financial and productivity suitable policy to achieve stability in domestic prices.Whereas this research aims to forecasting of the consumer price index numbers in Iraq starting from (January 2015 - December 2016) and for the twelfth commodity groups according to “Classification of Individual Consumption by Purpose (COICOP) " throughout using way of time series analysis based upon monthly data for the period (2009 - 2014) that are taken from Central Bureau of Statistical Organization considering year 2007 as the base year because this year is economically stable.Data has been analyzed by using time series cross by Box - Jenkins methodology (Identification, parameters estimation, diagnostic checking model, forecasting) reliance on statistical program ( Gretl - 1.1), the results of analysis showed that after comparison between Box - Jenkins models per each series based on Akaike Information Criterion(AIC), Schwartz Bayesian Criterion (SBC), The best forecasting model of consumer prices index numbers for commodity groups twelve are as follows :

دراسة مقارنة لبعض اساليب الحل الاساسي لنماذج النقل == A Comparative Study To Some Methods of Basic Solution of Transportation Models

Author name: عمار محمد صالح عبد الرحيم
Supervisor name: عبد اللطيف حسن شومان
Specific topic: Operations Research
Degree: Master
Language: Arabic
University location: Baghdad
First pages:
Abstract: تعد مشكلة النقل من المشكلات الاساسية التي تعالجها البرمجة الخطية وتحليل هذه المشكلات له اهمية كبيرة في اختزال التكاليف العالية للنقل وكذلك اختزال الوقت والجهد اللازم لذلك. وتعتمد عملية التحليل بصورة اساسية على ايجاد حل اساسي ابتدائي مقبول (Starting Basic | Transportation problem is one of the basic subjects that are quired by liner programming and the process of analyzing the transportation problems has great importance to reduce the high cost of transportation and the time and effort needed to submit. the analyzing process basically depends on finding a fundamental solution Elementary acceptable (Starting Basic Feasible Solution), to be the firm ground to proceed to another solutions until we reach the optimal solution, which represents the true measure of process Decision making.However (Starting Basic Feasible Solution), is better (cheaper) the number of iterations that required to reach the best solution will be less. therefore in this study we have to review the traditional ways of finding a fundamental solution which is (row Minimum, Modified row Minimum, column Minimum, Modified column Minimum, the north West corner, least cost, Russell's approximation method, and Vogel's approximation method). In addition to review four new methods two of them are published (Zidan's method and average method). and the other two methods are founded by the researcher as a result of his search & study (the first and second suggested method SM.1 and SM.2).to know the efficiency of these methods we should be tested, therefore we will use the simulation in trial side of the research to generate (100) of random transportation problems and solve it by the above methods for a comparison between these methods depending on the results that we gain from solutions. Based on the results of the comparison relied on the method that gave the best results in finding Basic Solution to be used in the application side of research, which is the process of constructing three transportation models to transfer of the distribution network for petroleum products, white available in stores alkhoznip and refineries (processing centers) to be distributed to counties of Iraq (demand centers) by tanker trucks (tankers) and put this models in a transportation schedules to solve it by the beast basic method and to be improved until we reach the optimally

استخدام طريقة Kernel في تحليل الارتباط القويم مع تطبيق

Author name: عماد عادل عبد السلام عناب
Supervisor name: ظافر حسين رشيد النجار | زكي جواد الصراف
Specific topic: Statistics
Degree: Doctorate
Language: Arabic
University location: Baghdad
First pages:
Abstract: في هذا البحث تم استعراض طريقة تحليل الارتباط القويم الخطية (Linear Canonical Correlation Analysis) والمقترحة من قبل Hotteling (1936) وتطور خوارزميات الاحتساب فيها، اذ تتلخص فكرتها بقياس معاملات الارتباط بين مجموعتين من البيانات في كل منها عدد من المتغيرات | This research studied the Linear Canonical Correlation Analysis (LCCA) proposed by Hotteling(1936) , and the development approach of it is algorithms. LCCA is a method to find the correlation coefficients between two groups of data involved different variables by calculating Eigenvalues of the block Variance - Covariance ( or correlations) matrix of the two groups, and their associated Eigenvectors as weighted to each set group data to find a series of canonical varieties to each group set. The correlation coefficient between the first canonical of each set which corresponding to the maximum eigenvalue called first canonical correlation. LCCA have some properties that should be exists to work with it , the importance one is the multivariate normal distribution of each set of data , and the linearity relationship between these variables. The research studied also the Kernel methods with some Kernel functions to establish the symmetric Gram matrix by inner Product of the original data set of each group, and then using the same approach as LCCA but in this case with a semi positive matrices instead of positive defined matrices in LCCA , this mean with combine between classic CCA and Kernel methods which is called Kernel Canonical Correlation Analysis (KCCA). The advantage of this knew method to discover more relationships between sets of variables. The goal of this research to show how to obtain the optimal weighted that when multiplicities by the original sets of data will maximize the canonical correlation coefficients. Some simulation experiments were applying here in order to find that KCCA methods exceed the assumptions of LCCA, the canonicalcorrelations that come from this new method is greater than from classic method, with consideration propose two mixed kernel functions.In application side, we suggested a true parameter ? in kernel function instead that used in simulation.

تحليل واقع استخدام تكنولوجيا المعلومات في العراق (عدا اقليم كردستان) للعام 2008 == Analysis of The Reality of The Use of Information Technology In Iraq (Except For The Kurdistan Region) In 2008

Author name: علياء اسماعيل عبيد
Supervisor name: عبد المنعم كاظم حمادي الشكري
Specific topic: Applied Statistics
Degree: Higher Diploma
Language: Arabic
University location: Baghdad
First pages:
Abstract: تعد تكنولوجيا المعلومات من الجوانب المهمة في قياس تطور الدول في جانب التنمية البشرية.لذلك تم اختيار هذا البحث وبالاستعانة ببيانات مسح تكنولوجيا المعلومات والاتصالات الذي نفذ خلال عام 2008 من قبل الجهاز المركزي للاحصاء وتكنولوجيا المعلومات واعتماد بيانات | Information technology is an important aspect in measuring the development of states in the human development.Therefore this research were selected supporting by data and survey formation and communication technology which was implemented in2008 by the Central Bureau of Statistics and Information Technology and e adoption of this survey data by using of statistical programs bag ad}` (SPSS 19)To get to the variables of direct impact on information technology and communications to all governorates of (except Kurdistan region) using factor analysis and then ease cluster analysis to determine the extent f convergence among the provinces on this side... In first chapter of the research presented introduction human development and then the goal of research and a brief history of research and thesis of master and doctorate which dealt with one aspects of human development and then some important information about the survey information and communication technology.The second chapter is the theoretical aspect of the research has included four axes, the first axis referred to the measures of human development (education, health, income, a measure development related to gender , human poverty, the enabling of women) and how to calculate each scale...The second axis was included along with information technology and its importance in policy development, education and some applications of information technology, its importance in policy development and education, some technology information, at

استعمال انموذج الانحدار اللوجستي لدراسة ظاهرة البطالة عند الشباب في محافظة بغداد == Using The Logistic Regression For Study of The Phenomenon of Unemployment Among Young People In Baghdad Province - Study Analytic Statistical

Author name: علي يحيى عبد الرضا
Supervisor name: رباب عبد الرضا صالح البكري
Specific topic: Applied Statistics
Degree: Higher Diploma
Language: Arabic
University location: Baghdad
First pages:
Abstract: تعد مشكلة البطاله من اخطرالمشكلات التي يواجهها مجتمعنا في الوقت الحاضر لكونها تشكل هدرا لعنصر العامل البشري ولاسيما فئه الشباب القادرة على العمل والعطاء ممايترتب على ذلك اثار سلبية تنبىء بمخاطر اقتصادية واجتماعية,فقد اصبحت ظاهرة البطالة قضية عامه يعاني م | The problem of unemployment of the most serious problems faced by our society at the present time because it constitutes a waste component of the human factor, especially young people capable of work and tender Mmaatertb on that negative effects lay hidden economic and social risks, the unemployment phenomenon has become a cause of public suffering from a lot of members of the community and especially the youth in various scientific levels, age and sex, which led to the high dependency burden in the community, which is reflected on the fabric of social life.The research aims to highlight the most important issue facing the community in time Alhazer a phenomenon of unemployment among young people as research aims to conduct a statistical study of the phenomenon of youth unemployment in the province of Baghdad and to consider the causes or identify the factors that affect them by building a model of logistic regression and find Category cases of the unemployed.The research sample included socio - economic survey of the family to the province of Baghdad and the results of a youth age group (15 - 29 years), according to the Ministry of Planning indicators - Central Bureau of Statistics.Has been used researcher statistical programs ready - made bag (SPSS20) in data and extracting results analysis, it has been the use of multivariate statistical analysis (model logistic regression binary response) to analyze the relationship between variables and access to the variables that actually affect the phenomenon of unemployment among young people in the province of Baghdad.As the researcher through the practical side to the results the following conclusions : - The moral variables included in the model are (sex, Higher Certificate completed by your father does not have a type, the type of environment and age) using the Wald test and the rest of the independent variables is a moral as well as showing that the percentage of correct classification for the views adopted variable after the entry of the independent variables (illustrations) of the model rose about the percentage of correct classification for the views of the model adopted containing the hard limit just as variable ratio increased from (82.5) to the percentag (88.3).

ايجاد التوزيع الاحتمالي للطلب خلال فترة الانتظار للمواد المخزنية في شركة تعبئة الغاز == Finding The Probability Distribution of Lead Time Demand For The Inventory Items In Gas Filling Company

Author name: علي هشام عبد الرسول السعدي
Supervisor name: عماد حازم عبودي
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Baghdad
First pages:
Abstract: يعد ايجاد التوزيع الاحتمالي للطلب خلال فترة الانتظار من اهم واعقد المشاكل التي تواجه العاملين في مجال السيطرة على الخزين وذلك عندما يكون الطلب او فترة الانتظار او كلاهما متغيرا وبشكل خاص عندما تكون فترة الانتظار طويلة.غالبا ما تستخدم توزيعات ثنائية | Probability distribution for lead time demand is considered the most important and complex problem that is faced by those who work in inventory control when demand or lead time or both of them are not fixed specially when the lead time is long.In common two parameters distributions are used to represent lead time demand, for example Gamma distribution and lognormal distribution. Although these distributions are some what flexible in representing this variable (i.e. lead time demand), it does not cover all cases.Thus, three parameters distributions are used in addition to that two parameters distributions to represent lead time demand. These three parameters distribution are more flexible and take different forms, consequently they are more compatible to cover more cases.This study consists of four chapters; the first one is a historical review and previous studies of some researchers who worked in probabilistic models for inventory control. The second chapter is a theoretical part that discusses some important conceptions which are used in inventory control and display the most important specification and characteristics of some important distributions to represents demand, lead times and lead time demand, that is the later is the most important to compute different inventory measures, which is limited on re - order level and protection level in this thesis. In addition it shows estimation of distributions parameters by using moment method and Maximum likelihood.The third chapter is the experimental part which tackles the analysis of actual monthly data and lead times data measured by month to find best probability distribution to these data. Then, mix demand data with lead time data. Thus, we get demand data during lead time. These data are tested to get probability distribution which represents them. This distribution depends on computing re - order level in specific protection levels.The forth chapter discusses the most important conclusions of this thesis and recommendations are suggested to the future studies.Further to that, the thesis contains a programs in Pascal language to get use of it to generate lead time demand data, and to test goodness of fit of data and computing re - order level according to lead time demand distributions.

ايجاد الخوارزمية الكفوءة في تقدير معلمات توزيع ويبل المختلط : تطبيق على سرعة الرياح في العراق

Author name: علي ناصر حسين
Supervisor name: علي عبد الحسين الوكيل
Specific topic: Statistics
Degree: Doctorate
Language: Arabic
University location: Baghdad
First pages:
Abstract: ان المجتمعات الاحصائية ليس دائما هي مجتمعات متجانسة (Homogenous) بحيث تسلك مشاهداتها سلوك احتمالي واحد لكل المشاهدات اذ يكون المجتمع في هذه الحالة مزيج من مجتمعات جزئية لكل منها دالة كثافة احتمالية قد تختلف عن المجتمعات الجزئية الاخرى. وبالتالي فان السلو

مقدرات طريقة بيز وبعض الطرائق التقليدية شبه المعلمية لتقدير دالة الانحدار اللوجستي في ظل البيانات المفقودة == Bayesian Method Estimates And Some Semiparametric Regular Estimating Methods For Estimating The Logistic Regression With Missing Data

Author name: علي محمد علي جيجان الخفاجي
Supervisor name: قتيبة نبيل نايف القزاز
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Baghdad
First pages:
Abstract: يلقى موضوع تحليل النماذج شبة المعلمية والذي يدمج النماذج المعلمية والنماذج اللامعلمية اهتماما واضحا في معظم الدراسات والتي تاخذ طابعا اكثر تقدما في عملية التحليل الاحصائي الدقيق الذي يهدف الى الحصول على مقدرات ذات مستوى عال من الكفاءة , في بعض الدراسات | Semi - parametric models analysis is one of the most interesting subjects in recent studies because of the precise way it describes the statistical databy giving efficient parameters. In some studies the response variable takes two values, either zero - no response - or one - response - which is called the logistic regression model. And the observations of this model may suffer from missingness and that is when the objective of the study comes.In this thesis the researcher studied some of the methods of estimating missing observations if the missingness is in the parametric variables or in the nonparametric variables. When the missingness was in the parametric variable two methods has been used, which are the Unconditional Mean (UCM) and the KBNS methods. And when the missingness was in the nonparametric variable two methods has been used which are Unconditional Mean (UCM) and Conditional Mean (CM) methods.After completing the observations the methods ofestimating the parameters in Semi - parametric modelswere used to estimate the parameters and these methods were (NW) and (CLLE) and the Bayesian method. Then the results were compared using MSe criteria.A simulation study had been made to compare different sample sizes, variances and missingness ratios by using the MSequality criteria. And the most important conclusions were, in the parametric variable the methods gave close results while the nonparametric variable methods gave different results according to the sample sizes and the variances.Then the best methods in the simulation study with sample size 90 and variance 0.2 were applied on the heart failure disease because the real data sample size was 92 with variance 0.23 and (CLLE) method gave the best result.

خوارزمية مقترحة لتعظيم معولية النظام عن طريق تحديد عدد من المركبات الاحتياطية مع تطبيق عملي في الشركة العامة لصناعة البطاريات

Author name: علي محسن عيسى الياسري
Supervisor name: لميعة باقر جواد الجواد
Specific topic: Operations Research
Degree: Master
Language: Arabic
University location: Baghdad
First pages:
Abstract: هذه الرسالة تتعلق بمسالة تعظيم معولية النظام من خلال وضع مركبات اضافية على التوازي في الانظمة الثانوية مع مراعاة القيود، هذه المسالة تعرف بـ "مسالة تخصيص المركبات الاحتياطية"، وقد تم حلها كمسالة امثلية لهدف واحد هو تعظيم معولية النظام والتي تخضع لعدة محدد

النماذج الاحصائية وتطبيقات الشبكات العصبية : دراسة مقارنة

Author name: علي عبد الحافظ ابراهيم الشيخلي
Supervisor name: حذامة رزوقي حسن | اموري هادي كاظم
Specific topic: Statistics
Degree: Doctorate
Language: Arabic
University location: Baghdad
First pages:

مستوى تعليم المراة في العراق وتاثيره في امراض الاطفال == The Level of Women'S Education In Iraq And Its Effect On Children'S Diseases

Author name: علي صبيح فرحان الطائي
Supervisor name: اسماء نجم عبد الله
Specific topic: Applied Statistics
Degree: Higher Diploma
Language: Arabic
University location: Baghdad
First pages:
Abstract: ان الظاهرة الطبيعية لتعليم الام نجدها تسلك سلوكا غير خطي، ولتحليل تلك الظاهرة نستعمل النماذج اللاخطية لوصفها وتحليلها وانموذج الانحدار اللوجستي يعد واحد من اهم هذه النماذج الاحصائية التي تستعمل لوصف وتحليل تلك الظاهرة وتطبق هذه النماذج عندما تكون المتغي | The natural phenomenon for the education of the mother is found behave in a non - linear, and to analyze this phenomenon, we use non - linear models to describe, analyze and model logistic regression is one of the most important of these statistical models used to describe and analyze this phenomenon and apply these models when they are dependent variables (response) and descriptive and specific variables (Qualitative and limited dependent variables) that is, those that are expressed in a specific set of qualities or facts characteristic((The education of the parents, particularly the mother contributes to the development of public health, especially for children under the age of five and is working to raise the educational level of parents to improve the health and living level and contribute to the dissemination of health education that are part of the general cultureThe research sample included socio - economic survey of households in Iraq results (IHSES - 2012) and carried out by the Central Bureau of Statistics and the body count of the Kurdistan region and for the age group of five years or less.The research aims to use binary logistic regression method to determine the effect of mother's education on children's exposure to disease in Iraq as a whole, according to the environment (urban, rural) and by region (Baghdad, North, South and Central(Depending on the test (Hosmer and Lemeshow Test) show that the chosen model approved variable (Y exposure to the disease) for the whole of Iraq, as well as by region (Baghdad, North, Central and South) and the environment (urban, rural) significantly, meaning that there the effect of mother's education on disease susceptibility especially levels of education (mom, read only) it has been shown that the level of education (my mother (x1 (1) contribute to the increased susceptibility to disease has been ranked first in influencing the approved variable (Y) at the level of (Iraq as a whole and the environment (urban), the northern region ), while (read only x1 (2)) contributes to reduce exposure to the disease has been ranked first in influencing the approved variable (Y) at the level of (the environment (the countryside), Baghdad, Central) area, either at the level of the southern region, the (mom x1 (1)) contributes to reduce exposure to the disease has been ranked first in influencing the approved variable (Y).

تقدير انموذج لا معلمي للبيانات الطولية للقطاعات الاقتصادية في العراق == Nonparametric Model Estimation For Longitudinal Data of Economic Activities In Iraq

Author name: علي سيف الدين عبد الحافظ
Supervisor name: ظافر حسين رشيد النجار
Specific topic: Statistics
Degree: Doctorate
Language: Arabic
University location: Baghdad
First pages:
Abstract: ان نماذج المعاملات المتغيرة زمنيا (Time - varying coefficient models) هي ادوات مهمة جدا لشرح الديناميكية في كثير من العلوم مثل الاقتصادية,المالية,السياسية,علم الاوبئة...الخ ,اي كيفية تغير معاملات المتغيرات زمنيا , وكذلك استعمالها هيكل خفي (Hidden Stru | Time - varying coefficient models are very significant instruments to explain the dynamics in many sciences such as economics, financial, politics, epidemiology, etc. That means, how the variables coefficients vary chronologically, and how they use Hidden Structure to avoid the Curse of Dimensionality for the nonparametric models. In the last ten years, varying coefficient models encountered deep and exciting developments on the theoretical and practical aspects particularly in the longitudinal data applications.In this research, some of the nonparametric technologies have been presented to estimate the coefficients functions, which are varying chronologically for the nonparametric marginal model of the balanced longitudinal data that characterized by observations obtained through (n) from the independent subjects, each one of them is measured repeatedly by group of specific time points (m). Although the measurements are independent among the different subjects; they are mostly connected within each subject, and the applied technologies are Local Linear Polynomial kernel (LLPK) and the Cubic Smoothing Splines (CSS).To avoid the problems of dimensionality, thick computation and the programming effort, the two - steps method has been used to estimate the coefficients functions by using the two former technologies. Since, the two - steps method depends, in estimation, on (OLS) method, which is sensitive for the existence of abnormality in data or contamination of error; it has been proposed using some robust methods such as LAD & M to strengthen the two - steps method towards the abnormality and contamination of error as well as using the robust method in any step or both steps to give high flexibility in terms of applying the robust methods. In this research, simulation experiments have been performed to imitate the used models, with verifying the performance of the traditional and robust methods for both of CSS & LLPK technologies by using two criteria, for different sample sizes and disparity levels. One of the important aims of this research is to create a dynamics for the data, i.e., how variables coefficients vary over time for a group of balanced longitudinal data for nine economic sectors in Iraq (agriculture and forestry sector, mining and quarrying sector, industrial sector, electricity and water sector, construction sector, transport and communication sector, trade of retail and wholesale sector, finance and insurance sector, and social development services sector for the period (1990 - 2009)); formulated according to time - varying coefficients, for the nonparametric marginal model of Cobb - Douglas Production Function. The most important conclusions of this research are : using Cubic Smoothing Splines is better than using Local Linear kernel, as well as the progress of the proposed robust methods over the traditional estimation methods in all contamination cases. Concerning the practical side, it has shown weakness of capital investments comparing to the volume of revenues, and the Gross Domestic Production (GDP) of the economic sectors depends mainly on the volume of employment, as well as the volume of revenues since(1990 - 2008) are considered decreasing revenues. i.e., any double of the capital and employment volume would not lead to double of the Gross Domestic Production (GDP), except in (2009) which witnesses increasing revenues, i.e., any double of the capital and employment volume would lead to double of the Gross Domestic Production (GDP).

مقارنة بين اسلوب بيز وطريقة الامكان الاعظم لتقدير دالة المعولية للنظام المتسلسل والنظام المتوازي مع تطبيق عملي == A Comparison Between Bayes Approach And Maximum Likelihood Method To Estimate Reliability Function For Series System And Parallel System With Application

Author name: علي حميد يوسف السراي
Supervisor name: صباح هادي عبود الجاسم
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Baghdad
First pages:
Abstract: نتيجة لتطور التقنية العالية والمنافسة الشديدة في القطاع الصناعي فان دراسة المعولية كانت الموضوع لدى الخبراء الاحصائيين بالاضافة الى مهندسو المعولية، لما لها من جانب كبير من الاهمية في حياتنا العملية، وحيث ان معرفة حالات عطل او فشل الانظمة شانه تقليل كلفة | In the theoretical part of this thesis, estimators of reliability function were derived for (series system) and estimators of reliability function for (Parallel system) as well as assumption that the life times of the components form every system is independent and is distributed into exponential distribution with different ` and independent parameters it can be shown as : First : Maximum Likelihood Estimator Second : Bayes Estimator By using squared error loss function and suggested loss function with taking into consideration finding common Prior probability function for random parameters according to researcher Jeffry also density Prior probability that is natural Conjugate that was not discussed in the references of the subject matter of the research. It is very important to refer that the derivation of Bayes estimators to reliability of parallel system were done by the researcher himself for the derivation could not be found in the references of the research which the researcher consulted for making comparison between the suitability of the estimations Monte Carlo stimulation style was used with two statistic measures (MSE) and(MAPE) for determination of the suitable estimator it is concluded that Best estimator by using suggested loss function and Prior density probability function natural Conjugate and so Best estimator using suggested loss function and non informative Prior probability Function.Finally in the practical part of the thesis the results of the theoretical part are wed to estimate reliability of Series System and parallel system in the AL - Kut Texture Factory which is belongs to the general company of texture industry is Wassit

توقعات الطلب المستقبلي للسياحة الدينية فـي محافظتي النجف الاشرف وكربلاء المقدسة == Expectations of Future Demand For Religious Tourism In The Provinces of Najaf And Karbla

Author name: علي حمد الله احمد
Supervisor name: محمد جاسم محمد
Specific topic: Applied Statistics
Degree: Higher Diploma
Language: Arabic
University location: Baghdad
First pages:
Abstract: من الواضح ان من اهم عمليات تطور الدول هي عملية التخطيط ووضع الخطط المستقبلية وهذا يتطلب اعتماد الاساليب الاحصائية المتقدمة , ومن اهم هذه الاساليب هي طرائق تحليل السلاسل الزمنية والتي تاخذ بالحسبان التغيرات الزمنية في دراسة الظواهر وعليه تم استعمال الانوا | It's acknowledged that planning and setting of foreseen & detailed plans are from the important operations to countries development which requires advanced statistical methods adoption. One of the important methods are the way of time series analysis which depends on time changes in studying phenomena. According to that different types of time series patterns & it`s analysis undertaken , recognizing the most important specifications in build up suitable patterns for studied phenomenon where basic phases adopted in building up patterns related to time series and beginning with identification ,setting of suitable pattern & studied phenomenon forecasting. The true data used for four types of Variables of a number of hotels, number of rooms, number of guests the Iraqis, the number of guests for each of the Iraqi province of Najaf and Karbala province respectively and take the data to time series form 1981 - 2010، was diagnosed using a model AR (1) in the prediction for the years 2011 - 2015

استعمال طريقتي انحدار الحرف والمركبات الرئيسية في تقدير معلمات انموذج اللوجستك في حالة وجود مشكلة التعدد الخطي مع تطبيق عملي == Use The Methods of Ridge Regression And Principle Components To Estimate The Parameters of Logistic Model Under Multicollinearity With Practical Application

Author name: علي حسين فلوح
Supervisor name: سهيل نجم عبود
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Baghdad
First pages:
Abstract: ان اكثر الدراسات في انموذج انحدار اللوجستيك تاخذ طابعا اكثر تقدما في عملية التحليل الاحصائي الدقيق الذي يمكن من خلاله الحصول على مقدرات عالية الكفاءة.ان مشكلة التعدد الخطي يمكن ان تظهر في انموذج درجة الميل (Propensity Score Model) عند تقدير متوسط تاثير | More studies on the topic of logistics regression model takes a more advanced in the process of careful statistical analysis which aims to get estimators with a high level of efficiency.The problem of Multicollinearity can appear in the model of propensity scores (PS) when estimating the average treatment effects (ATEs). In this thesis, using the methods of logistic ridge regression, logistic principle components regression an alternative to the maximum likelihood estimates in the propensity scores model. The average treatment effects (ATEs) estimators adopted the method of inverse probability weighted (IPW). logistic ridge regression (LRR), principle components logistical regression (PCLR), and maximum likelihood (ML) used to estimate the propensity scores (PS), The logistics regression model and the variable (W_i) and the Bernoulli distribution in depended variables then probability (?_i) and then estimate the average treatment effects (ATEs), where the use of simulations (Monte Carlo) to generate tracking data model of logistic regression and Multicollinearity problem depending on various factors, from simple correlation coefficient values and sample size and the number of independent variables and the constant value plus the adoption of different designs of propensity score in simulation study, this is due to the fact that estimates the average treatment effects (ATEs) her strengths and different accounts. And we use Bias and the mean squares error (MSE) as criteria for comparing methods of estimation.The results that have been obtained using a simulation study indicates that the Bias and the mean square error (MSE) depend on the sample size and the degree of the correlation as well as the design propensity score model. I have observed that the estimation method of logistic ridge regression (LRR) and principle component logistic regression (PCLR) was the best of the maximum likelihood estimates (MLE).In addition to the simulation study, has been applied method of logistic ridge regression (depending on(2 - 16)) on the data of the fact disease, kidney failure, which was obtained from the (Al_Emamyn city hospital) for different models to estimate the propensity scores and then estimate average treatment effect (ATE).

تقدير دوال الفشل للتوزيع الناتج من دمج توزيع بواسون ليندلي مع توزيعات اخرى == Estimating The Functions Failure Which Gains From Compound Poisson Lindley Distribution With Other Distributions

Author name: علي بندر نعيمة
Supervisor name: عماد حازم عبودي
Specific topic: Statistics
Degree: Doctorate
Language: Arabic
University location: Baghdad
First pages:
Abstract: In this thesis we studied to find the way for choosing the best distribution depending on initial distribution for the real sample size via deriving two new distributions such as (Fréchet distribution with Poisson Lindely and Rayleigh distribution with Poisson Lindely) and comparisons between them which is Poisson Lindely with another group of standard distributions by using some of standard measures. The real data recorded from the earthquake (1994 - 2014) in the Badraah city - Waste Governorate from the Iraqi Metrological and seismology. Furthermore, by using Easy fit software program to determine the primary distribution (represents the number of days occurs around a couple of two earthquakes have been done sequenced). Hence, the new distribution is Fréchet distribution which the most popular distribution represented the sample size of real data. On the other hand, two estimations were done the failure functions and reliability functions to find the best fitting distributions. Then the result shows that the failure function is increasing with time while, the reliability functions are decreasing with time. Consequently, after we obtain the best distributions we estimate the parameters of this new distribution (Fréchet Poisson Lindely) by using two methods DLS and MLS. Finally, the results indicate that DLS is the best rather than MLS to estimate these parameters via using Matlab software code which is written by researcher

مقارنة بعض طرائق تقدير المعلمات الهيكلية لمنظومة المعادلات الانية الخطية في القياس الاقتصادي مع تطبيق عملي == A Comparison of Some Methods of Estimating The Structural Parameters of The Linear Simultaneous Equations System In Econometrics With A Practical Application

Author name: علاء حسين صبري
Supervisor name: ايمان محمد عبد الله المشهداني
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Baghdad
First pages:
Abstract: في هذا البحث حاولنا تسليط الضوء على البعض من طرائق تقدير المعلمات الهيكلية لمنظومة معادلات انية مقترحة من الباحث والتي تخص العلاقة السببية بين الصادرات والنمو الاقتصادي في العراق، واستنادا على طبيعة البيانات وخصائص المقدرات تم استعمال معيار المفاضلة الحص | In this research we tried to shed light on some of the methods of estimating the structural parameters of simultaneous equations system proposed by the researcher, which was about the causal relationship between exports and economic growth in Iraq , Based on the nature of the data and characteristics of the estimators we used the robust MEDAE to compare between the methods used , which include methods used for the first time in the Arab countries and carried out the first time using real data (to the knowledge of the researcher) , which translated in Jackknife Instrumental Variables Estimation (JIVE) using an instrument that is independent of disturbances even in finite samples.Independence is achieved by using a `leave - one - out' jackknife - type fitted value in place of the usual first stage equation in 2SLS It seems that these methods gives useful alternatives when there is concern to the increase in the degree of over identify for the structural equation under consideration.As well as the researcher used the method of the LIML - LVR which had not previously also be used according to the real data (to the knowledge of the researcher) depending on the general formula K - CLASS

الطرائق المعلمية واللامعلمية لاختبارات عدم تجانس التباين مع تطبيق عملي == Methods Parametric And Nonparametric Tests For Heterogeneity of Variance With Practical Application

Author name: علا هادي صادق الوائلي
Supervisor name: محمود مهدي حسن البياتي
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Baghdad
First pages:
Abstract: تم في هذه الرسالة دراسة بعض من طرائق اختبارات تجانس التباين المعلمية والاختبارات اللامعلمية والمقارنة فيما بينهم في ظل انتهاك واحد او اكثر من الافتراضات الاساسية لتحليل التباين اذ تم استعمال الطرائق المعلمية الخاصة باختبارات تجانس التباين مثل (اختباركوكرا | Been in this Search the study of some of the methods of the homogeneity of variance parametric tests and nonparametric tests as well as the comparison among them under one or more violation of the basic assumptions for analysing the variance, by using the methods of parametric tests which they especialist to the homogeneity of variance such as ( Cochran test , Hartley test, Bartlett test, Levene test, Fisher test) and by using the nonparametric tests which they were expected to be more reliable in the case of one or more violation that related to the special analysis of variance assumptions such as (Ansari - Bradly test, Mood test, Klotz test, test Seigel - Tukey) as the comparison was done among the tests above are based on the possibility of The type I error, as well as relying on standard power of the test. The comparison was made between the estimation methods parametric and nonparametric using simulations and by generating symmetric distributions such as the normal distribution and the uniform distribution and nonsymmetric distributions (twisted) such as the gama distribution. Has been reached in this search that Cochran test may superiority the rest of the tests parametric based on the type I error and power of the test was followed by tests (Hartley test, Bartlett test, Fisher test , Levene test), as for nonparametric tests the Ansari - Bradley test has superiority the rest of the nonparametric tests based on the type I error and power of the test then followed by standard tests (Mood test , Klotz test , seigel - Tukey test). The search also included a practical application of the data taken from the Medical College of Technology of the University of Baghdad for all stages and all sections to calculate body mass (bmi)

تحليل تصميم العبور بفترتين ودراسة التاثير المتبقي == The Analysis of The Two Period Cross - Over Design And Study of The Residual Effect

Author name: عقيل اكرم علي الزبيدي
Supervisor name: لميعة باقر جواد الجواد
Specific topic: Statistics
Degree: Doctorate
Language: Arabic
University location: Baghdad
First pages:
Abstract: في تجارب العبور كل وحدة تجريبية تستقبل اثنين من المعالجات او اكثر خلال الزمن.في ابسط الحالات تستقبل اثنين في المعالجات الوحدة التجريبية تعطي اولا واحدة من المعالجات ثم (تعبر) لتستقبل المعالجة الثانية.تصميم العبور بفترتين كثيرا ما يستخدم في التجارب الطبية | In crossover trials each experimental unit receives two or more treatments through time ; in the simplest case of two treatments , the subject is first given one of the treatments and then crosses over to the other treatment.The tow - period cross - over design is rather often used in medical trials ,especially with chronic diseases or in drug experiments with volunteers.With this design the error variance is reduced by applying both treatments to the same subjects ;and to exclude time (period)effects ,one group of subjects receive the treatments in the sequence AB and the other group receives the treatments in the sequence BA The disadvantage of this design is that in the second period there may be a residual effect of the treatments given in the first period.When the assumption of normal distribution and homogenous of variances are hold the perfect procedure to analysis (TPCOD) is F test and t test but when the assumptions are not hold or the data are pure ordinal like scores , since sums or differences of such data or not reasonable, therefore, A nonparametric model for cross over design is best.We select three experiments to compare between the parametric and nonparametric procedures.we proposal a nonparametric procedure to estimate and test the (TPCOD) that is adopt the nonparametric procedure against the parametric in the case of violation of assumptions

حل مشكلة النقل في ظل قيود ميزانية الشركة مع تطبيق عملي == To Solve The Transportation Problem In Light of The Company'S Budget Restrictions With Practical Application

Author name: عفراء عباس حمادة
Supervisor name: سميرة خليل ابراهيم
Specific topic: Operations Research
Degree: Master
Language: Arabic
University location: Baghdad
First pages:
Abstract: تعتبر مشكلة النقل احد الاساليب الرياضية المهمة التي تساهم في عملية اتخاذ القرار المناسب في نقل السلع من مصدر انتاجها او تجهيزها الى مراكز طلبها المتعددة باقل التكاليف الممكنة, وضمن حدود العرض والطلب في كافة المنشات الصناعية, الاقتصادية والانتاجية. وفي ه | The problem of transportation is one of the important sports methods that contribute to the decision - making process in the transfer of goods from the source of production or processing to the centers of multiple demand at the lowest possible costs, and within the supply and demand in all industrial, economic and productivity. In this thesis, a model was presented for the problem of unbalanced transportation within budget constraints and demand for specific periods with a lower limit and an upper limit. This model was solved using the Interval point method to find the optimal solution to the problem of transportation with budgetary constraints. Which contributed to the selection of suitable solution for administrative and economic decision makers according to their potential and financial availability, as well as the use of the zero - point method to solve the linear model of the problem of transportation proved to be efficient and easy to apply. The simplex programming method was used to solve the transportation problem For. This method has proven to transportation larger volumes and lower transportation costs for Lower and Upper demand but exceeded the budget allocated by the company to transportation the product. The total transportation cost of the black oil (fuel oil) in the way of the Interval point method to the lower limit (187700000) and the cost of the upper limit (247600000) and did not exceed the budget allocated for transportation from the company (225500000), but reduced the cost of transportation to (22557808) (9,705.47) tons. The general linear programming method (Simplex) was the lower limit cost (180280000) and the cost of the upper limit (240000000) and the total cost of transportation was (233097.76) exceeded the budget allocated for transport by the company by (7597.76) and quantities transferred (10004.09) tons.

دراسة احصائية عن العوامل المؤثرة على التضخم في العراق == A Statistical Study On The Factors Affecting Inflation In Iraq

Author name: عطا كريم محمود العامري
Supervisor name: محمود مهدي حسن البياتي
Specific topic: Applied Statistics
Degree: Higher Diploma
Language: Arabic
University location: Baghdad
First pages:
Abstract: ان هذا البحث يهدف الى اظهار اهم العوامل والمتغيرات المؤثرة على التضخم في العراق من خلال دراسة عدد من المتغيرات وتحليلها احصائيا باستعمال اسلوبين من التحليل حيث تم استعمال اسلوب التحليل العاملي من خلال استعمال (15) متغير اذ يعتبر هذا الاسلوب من اساليب الت | This research aims to show the most important factors and variables affecting inflation in Iraq through the study of a number of variables and analyzed statistically using the two methods of analysis where the use of the style factor analysis through the use of (15) variable, as is the technique of analysis methods of modern, in addition to using multiple regression approach for the purpose of formulating a model statistically appropriate to predict inflation rates and determine the most important variables affecting it. As it ensures Find four seasons, has included the first chapter the research methodology and previous studies, while the second chapter included the theoretical side of research and was Bembgesan, Section I T_khassalganb theoretical your style factor analysis and its importance and methods of factor analysis with a focus on how the major components, while the second section has included the theoretical regression to the style of its details. It included the third quarter the practical side was Bembgesan, specialty section first application of the style factor analysis and analysis of the structure of the links, either second section has included the use of style gradient to reach the best model regression expresses the relationship between the most important variables illustrations (Independent) and variable adopted, which represents inflation, in addition to the possibility of the use of the model in futureforecasts. .The fourth quarter has included the most important conclusions that have been reached, as well as ensure that the recommendations. Has been the most important conclusions that the average daily exports of crude oil is the most influential on the rates of inflation and this is what led to be one of the important recommendations in the research is to increase exports of crude oil at the present time for the purpose of reducing inflation as the inverse relationship between inflation and average daily crude oil exports, in addition to that it was important recommendations is the diversity of sources of revenue without relying on crude oil imports note that it requires a long period of time.

استعمال بعض نماذج السلاسل الزمنية للتنبؤ بمحصول الرز في بعض مناطق الوسط والجنوب في العراق == Use Some Time - Series Models To Predict Rice Production In Some Middle And South Areas In Iraq For The Period (1969 - 2014

Author name: عدويه حسن يوسف الطائي
Supervisor name: غفران اسماعيل كمال
Specific topic: Applied Statistics
Degree: Higher Diploma
Language: Arabic
University location: Baghdad
First pages:
Abstract: في هذا البحث تم ايجاد الانموذج الافضل لانتاجية محصول الرز للمحافظات ( ذي قار - النجف - القادسية - المثنى - ميسان ) خلال المدة ( 1969 - 2014 ) باستعمال نماذج بوكس جنكنز(Box - Jenkins) ومن ثم التنبؤ بانتاجية الرز, حيث تم فحص وتشخيص بيانات السلسلة الزمنية من | The research aims to find the best model the agricultural production of crop for some Iraqi governorates ( Najaf - Qadisiya - Maysan - DhiQar - Muthanna ) during the period ( 1969 - 2014 ) applying Statistical methods used in forecasting time series models as Box - Jenkins method, of tests to identify the existence of stationary,estimation has been studied and included the using of maximum likelihood estimation method, as well as studying the Diagnostic checking using a number of tests to define the scope of models relevancy that has been estimated for the data examined by depend on confidence interval test and Ljung and Box ,then forecasting for the production of rice crop for the years ( 2015 - 2025 ) , chosen for the province of Najaf and Qadisiya is ARIMA ( 1 , 1 , 1 ) , while the model chosen for the provinces ( DhiQar, Muthanna , Maysan ) is the AR ( 1 ) , by depend on Akaike information criterion (AIC), Hannan Quinn information criterion (H - Q),The significance of the estimated parameters of the model.

استعمال بعض الاساليب الاحصائية للتنبؤ بانتاج محصول الشلب في العراق للمدة (2025 - 2016) == Some Use Statistical Methods To Predict The Yield of Rice Production In Iraq (2016 - 2025)

Author name: عبير محمود جاسم
Supervisor name: احمد ذياب احمد العزاوي
Specific topic: Statistics
Degree: Higher Diploma
Language: Arabic
University location: Baghdad
First pages:
Abstract: يعد القطاع الزراعي من القطاعات المهمة في عملية البناء الاقتصادي والاجتماعي في بلدان العالم المختلفة وان على الزراعة ان تسد حاجة السكان من الغذاء حتى يتحقق الامن الغذائي.ويعد محصول الشلب من المحاصيل الصيفية المهمة التي تزرع في المناطق المروية من وسط وجنوب | The agricultural sector of the important sectors in the process of economic and social reconstruction in the different countries of the world and on agriculture to meet the needs of the population of food so food security is achieved. The rice crop of the important summer crops grown in irrigated areas of central and southern Iraq, one of the important crops in food intake in Iraq depends upon the Iraqi individual in the food and meals. This research aims to predict the production of rice crop in Iraq for the period (from 2016 to 2025) through the time - series models using the Box and Jenkins models, which requires diagnosing the appropriate model and appropriate grade for this model to represent the phenomenon studied and based on annual data for the period analyzed (from 1975 to 2015), which was obtained from the Central Bureau of Statistics. After analyzing the data using statistical software gretl and address some of the problems that could have exposed the data and obtain the appropriate models to represent the production of rice, and in the model of the time series were tested stability of the chain in terms of both the contrast and the Mediterranean have shown results of the analysis after the trade - offs between Box and Jenkins models for series production of rice the adoption of standard Akaike Information Criterion (AIC) and the standard Schwartz Bayesian Criterion (SBC) and standard Hannan - Quinn (H - Q) to be after that model representative for the production of rice crop in Iraq is ARIMA (2,1,2) and test the independence of the wrong paradigm and then predict for the years (2016 - 2025).

استعمال التحليل العنقودي لبيان تغير نمط الانفاق في العراق للسنوات (1971 - 2010)

Author name: عبير عباس ناصر
Supervisor name: لميعة باقر جواد الجواد
Specific topic: Applied Statistics
Degree: Higher Diploma
Language: Arabic
University location: Baghdad
First pages:
Abstract: يعد الانفاق احد اهم المتغيرات الاقتصادية الاساسية وذلك لارتباطه بمتغيرات اقتصادية اخرى كالانتاج والادخار والدخل والاستثمار حسب مفهوم النظرية الاقتصادية اذ ان ارتفاع مستوى الانفاق يؤدي الى انخفاض مستوى الادخار ومعدلات الاستثمار والانتاجية والدخل، وبحثنا | The spending one of the most important variables and that is related to other economic variables such as production, income, saving and investment rates, productivity and incomes , we discussed this chang shows the spending pattern of families on key goods and services during the period (1971 - 2010) in the years where date are available ,so touched on the reality of living standards for families in Iraq by offering stylish rates on good and services(nine variable according to the system of national accounts) and on the levels(both urban and rural, urban only, rural only)during the period for the purpose of knowing how spending patterns change up or down, have been analyzed on the basis of thes ratios homogeneity or convergence in spending between years using cluster analysis hierarchy in three different wayse (the way the middle, the way the closest ,how far)and clarification of thes percentages in the graph at the level of years each service key once (to see the change in the pattern of spending on the services each during the time period) and at the level of basic services per year again(to see the change in the spending on different services per year)which may help to develop future plans for the advancement of thes families to decent life for these families.

تشخيص وفحص مدى الملاءمة لنماذج السلاسل الزمنية المختلطة ذات الرتب الدنيا == Identification And Diagnostic Checking For Low Order Mixed Models

Author name: عبيد محمود محسن الزوبعي
Supervisor name: عبد المجيد حمزة الناصر
Specific topic: Statistics
Degree: Doctorate
Language: Arabic
University location: Baghdad
First pages:
Abstract: تمثل الهدف ببحث مرحلتي التشخيص Identification وفحص مدى الملاءمة Diagnostic checking للنماذج المختلطة ARMA ذات الرتب الدنيا في مجال الزمن Time Domain وفي مجال التكرار Frequency Domain والمقارنة بين ادوات التشخيص ومعايير اختيار الرتبة واختبارات فحص مدى المل | The aim of this work is to study the two stages of identification and diagnostic checking of mixed models (ARMA) with low orders of time domain and frequency domain.The methodology of research had tackled in balanced way both the theoretical part (by using statistical theory) and experimental part (by using simulation). The thesis consisted of five chapters in addition to introduction. The first chapter contained the basic concepts of time series, stationary, mixed models with low orders and analysis tools for time domain and frequency domain.The second chapter included the identification stage as it contained the identification tools and selection criteria for models order.Also it included asggestion for two new methods of identification and anew criterion for order determination. The third chapter tackled the diagnostic checking by using a group of tests depending on time domain and frequency domain.Also it included viewing of some other aspects in time series analysis in order to open new avenues which could be traded by other researchers.The fourth chapter contained the experimental part by applying what had been depicted in previous chapters on mixed models (ARMA(1,1)), (ARMA(1,0)) and (ARMA(0,1)) and then to find out comparisions between identification tools, order selection criteria and diagnostic checking tests through giving different values of the parameters [?1,?1] and for different sizes of series and by iterating the experiments (1000) times.It had been arrived at some conclusions and recommendations which were consisting the fifth chapter

التنبؤ بحركة الطرود البريدية الصادرة والواردة باستعمال نماذج بوكس وجينكنز == Forecasting The Movement of Incoming And Outcoming Postal Parcels Using Box - Jenkins Models

Author name: عباس دوين عنكوش
Supervisor name: اسماء غالب جابر الراوي
Specific topic: Applied Statistics
Degree: Higher Diploma
Language: Arabic
University location: Baghdad
First pages:
Abstract: مما لاشك فيه ان للتنبؤ دورا مهما وبارزا في عملية اتخاذ القرارات التي ترسم مسار الادارات والهيئات لما له من نتائج ذات فاعلية لاحتوائه على مجموعة من الطرائق والاساليب الاحصائية ومنها طرائق تحليل السلاسل الزمنية واسلوب بوكس وجينكز احدها والذي يعتمد على ت | There is no doubt that prediction has an important and prominent role in the decision - making process, which charts the course departments and agencies, because of its effective results, which has it contains a set of methods and techniques (statistical and Mathematical), and one of this techniques is (Box - Jenkins) modes Postal parcels are stacked goods, its weight might be bigger than small packages. Postal parcels are specified in kilograms, and it doesn’t weight more than twenty - kilogram, and wrapped securely, its also doesn’t contain personal documents. This research aims to predict the movement of incoming and outcoming postal parcels through the modeling of the data used by using (Box - Jenkins) models, and for the time period from January (2009) to December (2014). This research, made a time - series analysis to the Weights and the numbers of sent and received postal parcels, therefore, the best model have been chosen depending on the appropriate trade - offs used standards, and the test results showed that the best model of the four series is ARIMA (0,1,1), depending on the trade - offs standards (MDL), (SBC), (HQ), and upon these results, the conclusions and recommendations were made

حساسية نموذج مباراة تفاضلية == The Sensitivity of Diffential Game Model

Author name: عايدة زاوين ارشاكيان
Supervisor name: ظافر حسين رشيد النجار | لميعة باقر جواد الجواد
Specific topic: Operations Research
Degree: Master
Language: Arabic
University location: Baghdad
First pages:

المويجات الهندسية المكيفة وتطبيقاتها في ازالة التشويش للصور الرقمية == Adaptive Geometrical Wavelets And Their Applications In Digital Image De - Noising

Author name: عامر محمد نوري المهداوي
Supervisor name: ظافر حسين رشيد النجار
Specific topic: Statistics
Degree: Doctorate
Language: Arabic
University location: Baghdad
First pages:
Abstract: تختلف الاهمية النسبية للمعلومات المرئية المحتواة في الصور. اذ ان البحوث الحديثة في فسلجة الرؤية اثبتت بان الدماغ البشري يتحسس لحواف مكونات الصورة بالدرجة الاولى، اما الانسجة فتاتي بالدرجة الثانية من الاهمية. دفع هذا الامر العديد من الباحثين في حقل المعالج | The importance of visual information contains in images are relatively deferent. Recent researches in psychology of vision have proven that human brain senses the edges of image objects in the first order, where image textures comes in the second order of importance. This problem had motivated researchers in the field of image processing towards finding new efficient methods that work on eliminating less important visual information which gives as a result a brief description containing the most important information. This description serves two domains : the first one is image compression, where it is possible to reduce the amount of data used in representation, which helps in reducing the required transmission time and also needs less storage size. The second one is image denoising, by reducing the importance of noisy data which helps in eliminating the noise, or at least compress its effect.Recently, it has become evident that separable transforms, such as wavelets, are not necessarily best suited for image representation due to their disability of catching line discontinuities that represent the objects edges, which make them unsuitable in giving adequate description for deferent geometrical shapes of these edges. This led to the appearance of the geometrical wavelets which has been proven its superior to nearly all of the classical wavelets in giving higher specific approximations and much more economical in data size of the image. These functions are non - separable and they are divided into two parts : adaptive functions and non - adaptive functions.This dissertation focuses on studying the first and most important function of the family of adaptive geometrical wavelets functions, the one called wedgelets, in addition to propose generalizations to it in order to make it more flexible in catching deferent curved shapes of image edges, which improves its performance in providing much more specific approximations depending on less number of coefficients. This work emphasizes basically in image denoising. And in order to increase the applicable importance of these functions, it has been suggested two methods to estimate the noise level that effects the image, and eventually choosing the best approximation according to this estimation.Finally, a comparison is made between the proposed approximation methods and the classical ones by applying on several tested images that have deferent properties, through the simulation of exposing them with deferent levels of noise. The results of this comparison shows good size of improvement in the performance achieved by the addition of these proposed functions.

استخدام مرشح الموجة الصغيرة المتقطعة في تحليل السلسلة الزمنية AR (1) ومقارنته مع مرشحات اخرى == Using Discrete Wavelets Filter In Analysis of Time Series AR(1) And Comparison With Other Filters

Author name: طه حسين علي الزبيدي
Supervisor name: عبد المجيد حمزة الناصر
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Baghdad
First pages:
Abstract: تم في هذه الاطروحة معالجة مشكلة الضوضاء (او التلوث) الذي يمكن ان تتعرض له مشاهدات السلسلة الزمنية باستخدام مرشحات الموجة الصغيرة والاعتماد على تحليل المعلومات من خلال التردد فضلا عن الزمن مقارنة مع تحليل فورير الذي يحلل المعلومات عن طريق التردد فقط مهم | This Thesis deals with the problem of Noise (or Contamination) which may encounter the time series data using Wavelet Filters and depending on the information analysis through the frequency in addition to the time compared to Fourier Analysis which analyze the information through the frequency only omitting the time factor, this was performed through the use of Discrete Wavelet Transformation as a filter to clean the data from the contamination or the noise factors by direct or with some kinds Thresholding , and then Estimate the First - order Autoregressive Model for the filtered time series observations and compare the results with what results from the use of time series observations that are contaminated and filtered by using Wiener and Kalman filters depending on some statistical Criterias, which are The Mean Square Prediction Error, Final Prediction Error, and The Mean Absolute Prediction Error.This study presents the suggested method as well, that depends on the Wavelet as Input for The Artificial Neural Network, and then use the outputs of this Network to Estimate The First - order Autoregressive Model to the time series observations that are filtered, and compare the results with the Classical Method - Neural Network, Haar Wavelet, and Daubechies Filters of the directs from second order and which used with Soft, Mid, and Hard Thresholding by depending on the statistical Criterias given before through using the simulation experiments in addition to use real data represents time series observations of sunspots, and in order to perform this analysis the researcher designed the required computer codes by using MATLAB Language.

مقارنة بعض الطرائق الحصينة في تحليل الارتباط القويم الخطي باستخدام المحاكاة مع تطبيق عملي == Comparison of Some Robust Methods In Linear Canonical Correlation Analysis of Simulation Used With Practical Application

Author name: طارق عزيز صالح
Supervisor name: لقاء علي محمد العلوي
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Baghdad
First pages:
Abstract: تبرز اهمية الحاجة الى طرائق تقدير كفء والتي تسمى بالطرائق الحصينة (Robust Methods) عندما تكون بيانات الظاهرة المدروسة ملوثة، او وجود شواذ في المشاهدات، والتي ينتج بسببها مقدرات تؤدي الى زيادة او نقصان في متوسط مربعات الخطا (MSE) مما يؤدي الى استدلال احص | The important of the necessity to my efficient estimation methods, which are called the robust methods, appears when the data of the studied phenomenon are contaminated, it means the observations contains outliers,which may produce estimators which result in increasing (decreasing) in the (MSE), That would leads to an inaccurate statistical inference. From this point was the good behind this research in reaching robust estimators of canonical correlation analysis that can be achieved through the study of some robust methods such as (estimators - M, estimators - MVE, estimators - MCD and estimators - S).for the failure of the classical methods of estimation of canonical correlation analysis at containing data on the ratio contamination (outliers), that leads to the derivation of incorrect covariance matrix consequently to correlation matrix and a series of relations between the incorrect variables. Therefore the robust methods were used in the calculate of covariance matrix which would lead to robust matrices to robust canonical correlation analysis.In order to achieve the objectives of the research, it was divided into four chapters.The first chapter included the introduction, purpose of search and review of literature, the second chapter tackled the theoretical aspect of the robust methods in canonical correlation analysis as well as some of the important concepts, the third chapters deals with the application aspect in which tow types of applied studies were made, The first one uses the simulation method to compare among the studied methods of estimation in canonical correlation analysis and detect the best of the estimator depending on the two statistical measurements bias mean and mean square error which renders the minimum MSE of canonical correlation analysis, the second study uses the truthful data to verity the performance in a practical actuality.Finally, the fourth chapter included the conclusion, recommendations to which the researcher has arrived. In general it is regarded that MCD estimator is the best in the estimation of canonical correlation analysis in comparison with the other studied methods of estimation.

التنبؤ باعداد طلبة المدارس في محافظة بغداد لغاية 2024 == Forecasting Numbers of School Students In Baghdad Province Up To 2024

Author name: صهيب اسماعيل عبد اللطيف
Supervisor name: اسماء نجم عبد الله
Specific topic: Applied Statistics
Degree: Higher Diploma
Language: Arabic
University location: Baghdad
First pages:
Abstract: جميعنا يعلم ان التعليم يبدا من خلال مراحل متعددة والتي تشكل سلسلة زمنية يمكن الاستفادة منها والتنبؤ بها من اجل تحسين وتطوير هذا القطاع المهم, مما لاشك فيه ان للتنبؤ دورا مهما وبارزا في عملية اتخاذ القرارات التي ترسم مسار الادارات والهيئات لما له من نتا | We all know that education starts through multiple stages, which constitute a time series that can be tapped and predictable in order to improve and develop this important sector.There is no doubt that to predict an important and prominent role in the decision - making process that paint departments and agencies track because of its ineffective results, because it contains a range of methods and statistical methods, including the methods, time series analysis and style Box and Jenkins, one of them, which depends on the time series of the phenomenon being studied analysis to provide the so - called autoregressive moving averages models characterized that methodology that can predict the data that appear in the future, based on time series data of interest in the past.The research aims to predict the numbers of school students, and educational supplies to the province of Baghdad, using the best model among the Box _ Jenkins models.The most research data numbers, primary and secondary school students in the province of Baghdad and for the period from 1969 until 2014, equivalent to (45) Show, which build a better model was to predict the numbers of students for both phases (primary, secondary), where the researcher found a better specimen prediction for primary school students was the specimen is ARIMA (1,1,3) the best specimen for secondary students is ARIMA (1,1,0) and through a table predictive values for each of the primary and secondary enables the researcher to assess the educational supplies by developments in the preparation of students increase according to the regulations and instructions of the Ministry of Education.Search was divided into four chapters shows the first chapter introduction research and objective of the research and review Reference The second chapter took the theoretical aspect of identifying the theoretical bases of Box_cengnz models in time - series analysis of either the third quarter included the practical side.Was estimated (the number of people to primary and secondary education, the number of primary and secondary schools, the number of teachers, number of teachers, the number of supervisors, the number of supervisors specialists, the number of school trips, the number of books for primary and secondary).The fourth chapter and the latter is for the conclusions and recommendations reached by the researcher that benefit the sound development of plans for the advancement of the educational sector

مقارنة بعض طرائق تقدير المعلمة والمعولية لانموذج ريلي للفشل لبيانات تامة وبيانات تحت المراقبة من النوع الاول باستخدام المحاكاة == A Comparison of Some Estimation Methods of Parameter And Reliability of Rayleigh Failure Model For A Complete Data And Type One Censored Data By Using Simulation

Author name: صبا صباح احمد الجميلي
Supervisor name: عبد المجيد حمزة الناصر
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Baghdad
First pages:
Abstract: تعرض الكثير من الباحثين الى انموذج ويبل للفشل (Weibull Failure Model) وتطبيقاته المختلفة كونه احد نماذج الفشل الشائعة الى جانب اهميته في حقل المعولية واختبارات الحياة. فـي هـذا البحث تـم تقديـر معلمــة القياس ودالـة المعوليـة لانموذج ريلـي للفشـل (Rayle | Weibull Failure Model and its different applications have been studied by many researchers, since it is one of the well known failure models in addition to its importance in the reliability field and life tests.This research estimated the scale parameter and reliability function for Rayleigh Failure Model, which is one of the well known failure model in the reliability field and life tests and the signal analysis.The research focused on the comparison between some of the well known estimation methods (classical and Bayesian) for the scale parameter and reliability function of this model by using the Maximum likelihood, Moments, White and Standard Bayes estimation methods.The methodology of the research depends on theoretical study, the methods of classical and Bayesian estimation has been determined elaborately to arrive to the estimations forms of reliability.Also this research depends on an experimental study by designing number of simulation experiments using various values of parameters and sample sizes, this experiment replicated to get high homogeny for the comparison among the estimation methods.Two kinds of data are used in the research : 1 - Complete Data.2 - Time - Censored Data. The researcher suggested two Bayesian methods for estimation in case of complete data; the first is a loss function obtained by compressing the well known square loss function which called it (The Compressed Bayes Method), and the second is a prior function which is called (The Developed Bayes Method). The comparison between the two proposed methods is done to show the effect of Bayesian estimator, then a comparison done between the best proposed methods with the best well known methods to show which estimator is the more accurate to be used for estimation the scale parameter and reliability function for Rayleigh failure model.The results of these experiments show that White method is the best from the other methods which are used in this research in estimating the scale parameter and reliability function, and the results show that the proposed Compressed Bayes method is better than the Standard Bayes and the Maximum Likelihood methods, while the proposed Developed Bayes method verified that it is better than the Moment method in estimating the scale parameter and the reliability function; and better than the Maximum Likelihood estimation method in estimating the reliability function, and using any of the proposed methods (Compressed Bayes, Developed Bayes) is better than the Standard Bayes method. In case of censored data the simulation experiments proved that the Maximum Likelihood estimation method is better than the Standard Bayes estimation method. A comparison of preference estimation methods is done by using the two standards; Mean Square Error (MSE) and Mean Absolute Percentage Error (MAPE).

تاثير تغير اسعار النفط على موازنة العراق العامة للفترة (2003 - 2014) == The Effect of Changes of Oil Prices By The General Budget For Iraq On Duration (2003 - 2014)

Author name: شيماء محمد احمد
Supervisor name: فارس طاھر حسن الكواز
Specific topic: Applied Statistics
Degree: Higher Diploma
Language: Arabic
University location: Baghdad
First pages:
Abstract: تعتبر الايرادات النفطية والمتمثلة (بايرادات النفط الخام، ايرادات النفط المحلي ) والايرادات غير النفطية والمتمثلة (ايرادات الصناعة والزراعة والتجارة والضرائب وغيرها من الايرادات عدا الايرادات النفطية ) مصادر ممولة لايرادات الموازنة العامة في العراق, حيث ان | It considers oil revenues and of (crude oil revenues, domestic oil revenues) and non - oil revenues and of (industry, agriculture, trade, taxes and other revenue excluding oil revenues, revenues) funded sources of revenue for the general budget in Iraq, where the drop in oil prices has a major impact on oil revenues and therefore It affected the general budget revenues because it is almost entirely dependent on oil revenues. Using multiple linear regression was estimated statistical model for the general budget revenues practically using the Statistical Package for Social Sciences (Spss( to see the spirits of each variable and finding the predicted values for the model of the general budget revenue estimates for the period) from 2003 to 2014 (where it was found by the estimates of the budget deficit revenue values public due to lower oil prices.

استعمال بعض نماذج السلاسل الزمنية للتنبؤ باعداد التلاميذ المقبولين في الصف الاول الابتدائي في العراق للفترة (1969 - 2012) == Use Some Time - Series Models To Predict The Numbers of Pupils Admitted To The First - Grader In Iraq For The Period (1969 - 2012)

Author name: شيماء ابراهيم خليل
Supervisor name: هاني عبد الله حسن
Specific topic: Statistics
Degree: Higher Diploma
Language: Arabic
University location: Baghdad
First pages:
Abstract: يعد التنبؤ بالسلوك المستقبلي للسلاسل الزمنية من الموضوعات الهامة في العلوم الاحصائية ولذلك فان التنبؤ بعدد التلاميذ المقبولين في الصف الاول الابتدائي في العراق يحتل مكانة هامة باعتبار الاتاحة الشاملة للتعليم الابتدائي لاطفال العالم تعد واحدة من الاهداف ال | The prediction of future behavior of the time series of important topics in science statistical therefore predict the number of students admitted to the first grade in Iraq occupies an important position as universal access to primary education for the children of the world is one of the Millennium Development Goals (MDG'S) and goals of " A World Fit Children's " (WFFC).Data were collected for research, which represents the number of students admitted to the first - grader in Iraq for the period (1969 - 2012) of the Ministry of Planning and Development Cooperation - Central Bureau of Statistics has been introduced into the statistical program spss version 18.In this research was the comparison between the two methods to predict which way each of the Box and Jenkins methods Exponential Smoothing to know the best way to predict based on the criteria (MAPE and BIC) where the method has proved its superiority to Exponential Smoothing way box - Jenkins

مقدرات الامكان الاعظم الموزونة الحصينة ومقارنتها مع طرائق اخرى لانموذج اللوجستك مع تطبيق عملي == Robust Weighted Maximum Likelihood Estimates And Their Comparsion With Other Methods of Logistic Model With Practical Application

Author name: شرين علي حسين
Supervisor name: نزار مصطفى جواد الصراف
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Baghdad
First pages:
Abstract: ان معظم الدراسات في موضوع انموذج انحدار اللوجستك تاخذ طابعا اكثر تقدما في عملية التحليل الاحصائي الدقيق الذي يهدف الى الحصول على مقدرات ذات مستوى عال من الكفاءة. وتاتي اهمية الحاجة الى تطبيق الطرائق الحصينة عندما تكون بيانات الظاهرة المدروسة ملوثة , | In most of studies about the logistic regression model take in it's nature more progness in the procedure of acurate statistical analysis which aim getting estimators of a high level of efficiency , and importance of it's necessity to applicate of the robust methods, appears when the data of the studied phenomenon are contaminated , it means some of the observations vareit clearly from other observations called outliers which may produce estimators untrustworthy and so the decision will be false about the problem that we are trying to study it.From this point was the goal of this research in reaching robust estimators to estimate parameters of binary response logistic regression model through study some of theis estimators (method (WMLE) , method( M ) and method (Lp) ) and that by supposing three levels of contamination (0%,10%,30%). Also we use simulation in this study to compete between methods of studied estimator for all levels of the contaminated studies.In this thesis the researcher concluded the success of the method (WMLE (w1)) in estimate parameters of binary response logistic regression model, in comparsion with studied estimate methods by depending on statistical measures : Bias, Mean Square Error for parameters and model.Also the researcher specified a chapter for applying and using method WMLE (w1) on real data of angina pectoris patients which taking from Ibn - al - Nafees hospital for the purpose of estimate parameters of binary logistic regression model.

استعمال المجموعات الضبابية ونماذج بوكس جينكنز في السلاسل الزمنية للتنبؤ ببعض نسب التلوث في مياه الشرب لمدينة بغداد == Using The Fuzzy Sets And Box - Jenkins Models In Time Series To Prediction Some Rates of Pollution In Baghdad City

Author name: سيف عدنان سلمان
Supervisor name: احلام احمد جمعة
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Baghdad
First pages:
Abstract: There are many statistical methods used in time series analysis and that of the most famous of these methods Box - Jenkins models, which include a number of stages needed to reach the best model is used to predict the process, and that this method requires the availability of a number of conditions required in the process of building the model and assumptions about the nature of the time series being linear, a natural or stationary , and with the growing interest in the topic of time - series modern methods used in time series analysis and foremost of which is the use of Fuzzy logic and Fuzzy sets in the time series as one of the most modern methods to predict is the most important alternatives to traditional statistical methods have emerged they possess the ability to in finding solutions to various areas and it does not require the availability of the conditions due to the use of traditional models which are difficult achieved in most cases. Then in this paper the use of the two methods in the time series, , (Box Jenkins models, and Fuzzy time series) in the forecasting process as each method include special stages are different from the other, through the study of the monthly chemical tests for solids dissolved rate data behavior and examine the turbidity of the water drinking in the city of Baghdad for the period (January 2004) and up (December, 2013) and a better model to predict through the application and the comparison of the results in these ways by using a number of statistical standards and ones (MSE) and (MAPE)

توظيف الخوارزمية الوراثية في انشاء تصاميم القطاعات غير الكاملة المتزنة == Construction of Balanced Incomplete Blocks Design (B.I.B.D.) By Using Genetic Algorithms (G.A.)

Author name: سهام دنخا خوشابا
Supervisor name: كمال علوان خلف المشهداني
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Baghdad
First pages:
Abstract: Some times we faced problem that either the number of treatments used in an experiment more than the number of experimental units inside the particular block or the blocks size large than the number of replicated of treatments, then we have to use incomplete blocks design (I.B.D.); in this design either the treatment appear in block or not; that means the treatment may appear or not in a block, also when the treatments appear in a pair of treatments, this design called balanced incomplete block design (B.I.B.D.). This case makes the B.I.B.D. important by using the randomization to distribute the treatments inside the blocks and create Incidence Matrix, where its elements either zero when the treatment not appears or one when the treatment appears. This kind of design is important in many fields of study especially in the agriculture and in the veterinary medicine …etc. The aims of the previous studies was to find the way for construction of B.I.B.D..Till now the studies keep going to find out the new ways or methods for construction.The aim of this study is to find out a new way for construction. A new way for construction the incident matrix by using steps for building “Genetic Algorithms”, is discussed Genetic Algorithms are theoretically and empirically proven to provide a robust search in a complex spaces.

مقارنة بعض اختبارات ملاءمة نماذج السلاسل الزمنية ذات الرتب الدنيا باستخدام المحاكاة == Comparison of Some Diagnostic Checking Tests For Time Series Models With Low Order By Using Simulation

Author name: سهاد احمد احمد
Supervisor name: احلام احمد جمعة
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Baghdad
First pages:
Abstract: ان دراسة السلسلة الزمنية تتطلب دقة في وصف ملامح الظاهرة (العملية) التي تتولد منها، سواء من حيث تفسير طبيعة تلك الظاهرة وسلوكها واستخدام النتائج للتنبوء بسلوكها في المستقبل اخذين بنظرالعناية التحقق عما يمكن حدوثه عند تغيير بعض معلمات الانموذج. ويمكن استخ | Studying time series requires an accurate description for the features of phenomena (procedure) that generates time series according to its nature and behavior interpretation. After that, we can use these results for forecasting to the future taking under consideration : examine to what would happen after changing some of the model parameters, use the standard (depended) methods for testing the accuracy of the identified model which has ability for taking errors in the procedure, and provide balancing condition between model diagnosing and simplicity as well as. This research aims to use some of tests concern with diagnosing of the identified model, and make comparisons among these tests meanwhile. The researcher took some of tests, especially, the modern ones, represented by Dm test which depends on partial autocorrelation function, and which depends on autocorrelation function. We use ARMA models with lower order : [AR (1), MA (1), ARMA (1,1)] that Gaussian distribution. Furthermore, we use the tests concern with linear hypothesis diagnosing for the previous three models, represented by squaring the model errors. We use also, the modified tests in this field. In addition, we use some of nonlinear models, as "Threshold" model, and taking self - exciting threshold autoregressive (SETAR) as a special case. The analysis of time series considered time range under model stationary. Methodology of the research depends on both the theoretical part (Statistical theory usage), and the empirical part (Simulation). The structure of the research has mainly based on four chapters as follow : chapter ONE, consists an introduction, the goal of the research and the historical literature. While chapter TWO, covers the statistical methods that take part describing and modeling the time series, as well as explain the main concepts of time series such as "Stationary". We show also, the "mixed" model with lower order, crossing to examining the diagnosing through some of the standard and modern tests which depends on autocorrelation and partial autocorrelation functions of the standardized residual series that obtained from the original series of the model, by testing the randomization of the model errors and make checking for its convenience and accuracy. Furthermore, we use the modified tests : ( , , )and (Kwan & Sim) test represented by ( , , ) to determine the linear hypothesis diagnosing by compute the standardized residual series squares of the error in the previous three models that mentioned above. We use nonlinear model (SETAR) as well as. Chapter THREE, devoted for the empirical part which contains illustrations to all of what mentioned in chapter two. The researcher has designed some of experiments for purpose of comparing the (standard, modern and modified) tests through computing (P - value) for each model at (0.01) significant level at many simulated parameters, with different sample sizes, and for a number of periods of lags at each sample size, by replicating the experiment (1000) times. Finally, chapter FOUR comprises the conclusions and suggestions that the researcher had recommended

استعمال اشجار الانحدار التصنيفية والانحدار اللوجستي في تقدير انموذج تجميعي والمقارنة بينهما مع تطبيق عملي == Using Classification Regression Trees And Logistic Regression To Estimate Additive Model Comparison With Application

Author name: سهاد احمد احمد
Supervisor name: عمر عبد المحسن علي القيسي
Specific topic: Statistics
Degree: Doctorate
Language: Arabic
University location: Baghdad
First pages:
Abstract: تعاني بعض الظواهر من وجود حالة اضطراب في بياناتها بالاضافة الى صعوبة صياغتها وخصوصا مع وجود عدم وضوح في استجابتها، او لكثرة الاختلافات الجوهرية التي تعتري الوحدات التجريبية التي تم اخذ هذه البيانات منها. فعندما تزداد المجاميع لمجتمع ما, لا يمكن اعتبار ذل | Often suffer phenomena and there is disturbances in their data as well as the difficulty of formulation, especially with a lack of clarity in the response, or the large number of essential differences plaguing the experimental units that have been taking this data from them. When growing groups of a population, it can't be regarded as a homogeneous population is increasing because the dispersion between the experimental units in response to that population as well as the error will also be increasingly difficult to build a model of that population.So there was a need to include an estimation method on the classification or underlying discrimination for these pilot units using discrimination or create segments for each item of these pilot units in the hope of controlling their responses and make it more in line style.Has been resorting to the use of the method of a modern and flexible classification is based on the neighborhoods between the views represented by the response variable by classification regression trees : CART. It was the use bayesian approach and the promise of features indicative of regression analysis model classification tree to take advantage of the above information by, and collect trees for explanatory variables are all together and at every stage fork on the other hand, represented the bayesian classification regression trees : BART.In view of the development in the field of computers and taking the principle of the integration of science it has been found that modern algorithms used in the field of Computer Science swarm of birds and other originally illustrated algorithm for the purposes of technology pertaining to distinguish between images or vibrational radio, etc., can be harnessed to serve the knowledge of statistics, which is based Turn on the information production and to achieve success in it. So is the use of genetic algorithm and submit a proposal by modified genetic algorithm, in addition to C4.5 and ID3 algorithms. And without losing the generality has been used as a tool of logistic analysis as important tool.It was a whole performance along with an estimate of the general additive model method of classification of all the methods mentioned in the above. Fitted model as modern and flexible overcomes curse of dimensionality that may occur most modern phenomena of the times when their data analysis.It was the use of simulated samples of different sizes (200, 400, 600) with (1000) replicates. The application was performed on patients with diabetes data for those aged (15) years and below are taken from the sample size (200) was withdrawn from the children hospital/ Al - Eskan/ Baghdad.As proof of the goodness of classification has been using the misclassification error, and as proof of the goodness of estimation has been using the root mean squares error.Was reached important conclusions through a process of differentiation among the six methods above, the superiority of the Classification and Regression Trees Algorithm (CART) is the best in terms of the results that has been reached in empirical side, when proposed Genetic Algorithm is the best in terms of the results that has been reached in applied side.

دراسة احصائية لوفيات الاطفال الرضع لمحافظة نينوى للفترة 1987 - 2004

Author name: سما سعدي علي الهاشمي
Supervisor name: عبد الحسين زيني
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Baghdad
First pages:
Abstract: يعد الاحصاء السكاني ( الديموغرافي ) من العلوم المهمة في الوقت الحاضر، فهو الدراسة الاحصائية للسكان وخصائصهم وفعالياتهم وتغييراتهم من حيث التكاثر والوفاة والانتقال والعوامل التي تؤثر فيها والنتائج التي تنشا عنها. من اهم التغيرات التي تحدث على السكان ه

الارتباط القويم والشبكات العصبية الاصطناعية : دراسة تطبيقية == Canonical Correlation And Artificial Neural Network (Application Study)

Author name: سليمة حمادي جاسم
Supervisor name: رفعت لازم مشعل الخميسي | عدنان شهاب حمد
Specific topic: Operations Research
Degree: Master
Language: Arabic
University location: Baghdad
First pages:
Abstract: يعتبر الراتبا ط القويم طريقة عامة في دراسة العلاقات بين مجموعتين كم المتغيرات ويتميز عن الارتباط البسيط في كونة يقيس العديد من العلاقات البسيط في الوقت نفسة وعن الارتباط المتعدد في كونة يقيس قوة العلاقات بين مجموعة من المتغيرات التوضيحية ومجموعة من المتغي | I used the model of canonical correlation analysis, and artificial neural network model.In the practical part, it has been chose the student performance in the four years, and because of modernity of the experiment of evening schools, and comparing it with morning schools for the works administration and accounting departments in Administration and Economics College / University of Baghdad in order to know the performance of the student through the four years and the possibility to reduce waist in educational system, whether in training powers and other requirements to reach a top valuable scientific level with a less possible expenditures, and assuming their performance using the model of canonical correlation analysis and artificial neural network model to reach and compare the results in the two models to get a best model.

اشتراك توزيعي ويبل وتكوين توزيع الباي ويبل == The Participation of Two Weibull Distributions And The Formation of Bi - Weibull Distribution

Author name: سلام جاسم محمد الساعدي
Supervisor name: علي عبد الحسين صالح الوكيل
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Baghdad
First pages:
Abstract: ان الاهتمام الواسع والمتزايد بدراسة موضوع المعولية باعتباره علما يتعامل مع اعمار المعدات ولاسيما احتمالات البقاء ومتوسط الحياة وهذا يعود بالاساس الى التطور التكنولوجي السريع واستخدام الانظمة الالكترونية المعقدة في مختلف المجالات. وعلى هذا الاساس فان در | The wide increasing concern of studying the topic of reliability as a science dealing with equipment ages, especially the survival and life average probabilities rendered to the fast technological development and the utility of complicated electronic systems in various fields. On that basis, the studying the topic of reliability and the connection between the theoretical and applied sides together have a great importance because they are considered the indicator towards stating the extent of efficiency and capacity of the machine and the work system without damages for a long period of time, accordingly, the study of (Weibull Distribution) is a sample of failure functions because this distribution is suitable when failure rates are high relatively at the operating start, then these rates decrease gradually with time increase. Accordingly, the thesis includes mainly a display of a new sample of joint distributions which is known as (Bi - Weibull). This kind of distribution gives more elasticity and more accurate results.Hence, the basic statistical measures and the parameter estimation of (4 - Parameter Bi - Weibull Distribution) were found through (MLE) by using the simulation method (Inverse Formula). In order to reach the research aim, the research is divided into five chapters. Chapter one deals with the topic general backgrounds and function definition including the reliability function. Whereas chapter two is dedicated to expose the methods of estimating the parameters of the (2 - Parameter Weibull Distribution) with displaying the basic statistical measures of (2 and 3 - Parameter Weibull Distributions). As to chapter three, it includes the theoretical side of (Bi - Weibull Distribution) with the exposure of the following three states of this distribution : - (4 - Parameter Bi - Weibull Distribution) - (5 - Parameter Bi - Weibull Distribution) - (6 - Parameter Bi - Weibull Distribution) with their basic statistical measures.Chapter four manifests the research programs and simulation results as well as result analysis. Chapter five includes the conclusions and recommendations the researcher has arrived at

مقارنة بعض طرائق تقدير المعلمة التمهيدية لدوال اللب متعدد المتغيرات وتوظيفها في الدوال التمييزية مع تطبيق عملي == Comparison of Some Smoothing of Estimate Methods For Multivariate Kernel Functions And Employs Them In Discriminants Functions With Practical Application

Author name: سكينة شامل جاسم
Supervisor name: لقاء علي محمد العلوي
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Baghdad
First pages:
Abstract: ان التحليل التمييزي (Discriminant Analysis ) غالبا ما يعاني من مشكلة صغر حجم العينة ( SSS ) Small Simple Size خاصة عندما يتم تطبيقها لتصنيف انماط عالية الابعاد مثل (التعرف على الوجه، حركة اليد وحركة الجينات الوراثية و...)، او عندما تكون البيانات لديها | The linear discriminant analysis often suffer from small sample size (sss) problem.especially when they are applied for the classification of high_dimenssional patterns. Such as (face recognition) or when data is distributed normal distribution but when they are non _ linear and has spread widely. We are dealing with this problem by using a technique of kernel discriminant analysis. because this technique depends on the kernel density estimation which belong to the class of estimates. it is commonly perform Avery important technique for visualizing data distribution and smoothing. It is unimportant to procedure in the explanatory data analysis, as that used in kernel discriminate analysis well known by researchers. To identify statistical. patterns. it is also known that these estimates are. Based mainly on the choice of bandwidth parameter end controlled on smoothing of estimation and to choice kernel function. has been the use of carton methods to estimate band width parameter it is : plugin methad Least square Cross validation method Smoothed Cross validation method Are selected as a parameter of bandwidth and use in kernel density estimation (KDE( and then employ them in kernel discriminant analysis (KDA) approach. Through the joint base for groups is a kernel discriminant rule (KDR) which rely heavily on density classified (f ?_j) and probability of prior (? ?_j).therefore the problem of multiple class(The use of several variables) will be more important and visible to be parameter of bandwidth is different when compared with various densities classified. Finally, it was real data from the general blood cancer disease and style simulation application, as it was reached that way (KDA - SCV) is best when using the above standard compared with other methods because it gave the misclassification rate least.in the practical side results showed in such a way that nine people were the first (n1... n9) of the first group are infected with disease among 50 people is infected and 12 people from the second group infected with the Lisu people living with and they (n45... n50 and n1... n6 ).

مقارنة بعض الطرائق اللبية في تقدير نماذج الانحدار اللامعلمي بوجود بيانات تامة وغير تامة == A Comparison of Some Estimation Methods For Kernel Models In Complete And Incomplete Data

Author name: سعد كاظم حمزة
Supervisor name: ظافر حسين رشيد النجار | مناف يوسف
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Baghdad
First pages:
Abstract: ان استخدام النماذج المعلمية يتطلب العديد من الشروط الاولية التي يجب توافرها لكي تكون قراءة هذه النماذج قراءة صحيحة كما تتطلب وجود بيانات من النوع الكمي الامر الذي دفع الباحثون الى البحث عن نماذج اقل صرامة من النماذج المعلمية وتمثلت هذه النماذج بالنماذج ال | Using of parametric models require a number of preliminary conditions that should be available to make the reading of these models right as well as the presence of quantitative data which motivated the researchers to search for models with lesser terms than the parametric models represented by nonparametric models. One of nonparametric methods important for estimating nonparametric regression function known as (kernel estimation) to be used for estimating any statistical function which is (smooth estimator) free of disorders modifying the observations and approximating estimated regression function to real nonparametric regression function. Hence, the researcher showed some kernel methods to estimate the nonparametric regression function in both cases complete data (FNW, FLLS, VNW, VLLS) and incomplete data (FSNW, VSNW, FINW, VINW, FSLLS, VSLLS, FILLS, VILLS) and compared them through the simulation method as well as using different models and different sizes of samples and variants. From noticing the simulation results, it was shown that the best smoother was (FLLS) by using the first model, while by using the second model, it was shown that the best smoother was (VLLS) and in the third model was (VNW). In case of incomplete data, the best smoother was (VSLLS) by using the first and second models while by using the third model, the best smoother was (VSNW)

بعض المقدرات الحصينة لقدرة الطيف وفق الانموذج المختلط ARMA مع تطبيق عملي == Some Robust Estimators For Power Spectrum According To The Arma Models With Application

Author name: سحر طارق محمود الرحيم
Supervisor name: عبد المجيد حمزة الناصر
Specific topic: Statistics
Degree: Doctorate
Language: Arabic
University location: Baghdad
First pages:
Abstract: تهدف الاطروحة ايجاد افضل مقدر(التقدير الامثل) لدرجة ارتداد الانموذج المختلط ARMA ذي الدرجات المتدنية لقدرة الطيف Power Spectrum والحصول على امثلية التنبؤ، اذ ان مشكلة الاطروحة تكمن في خطا اعتماد اساليب تقدير درجة الارتداد قبل اطفاء اثر الشواذ التجميعية ( | The Aim of The thesis is finding the best estimator (optimal estimate) the degree of rebound mixed model ARMA with low scores to Power Spectrum and get optimizing forecasting, As the problem of the thesis lies the mistake of adopting methods of estimating rebound degree before extinguishing (AO) Outliers (additives Values) in an estimate operation based on data series without getting rid of the effect of the presence of Outliers. According to This thesis addressing the Existence of the Outliers, in particular, (AO) Outliers after addressing the existence of Outliers, then starting estimate the optimization for a rebound.When interest in Robust estimates we must identify the time series contaminated Outliers with a certain probability models is defined due to lack of stability in addition to the difficulty of knowing specimen probabilistic it appears at first paragraph leap suddenly are called stereotypes Bahawaz Innovation Outlier, late to be the behavior of independent gay behavior values the other called Bahawaz aggregate Additive Outliers.When interest in estimates fortified must identify the time series contaminated Outliers with a certain probability models Unlimited Parameters is defined due to lack of Stationarity in addition to the difficulty of knowing probabilistic model ,it appears at first paragraph sudden leap are called Innovation Outlier, or be an independent behavior of other values called Additive Outliers.Shows the experimental side of the Thiess through a standard MSE, MAPE preference of Robust method on the Unrobes for all sample sizes and for all primary parameters assumed values, as well as for all default frequencies values (Wi), have an adverse impact in terms of efficiency when models ARMA (0,1), ARMA ( 0.2), and very slight variation when the model ARMA (1,1) the impact of outliers and the supposed frequencies (w) = [1/4, 1 / 3.3, 1 / 2.5, ½] small.The nature of the electrical signal surveyed of heart (ECG - Electrocardiogram) a vital signal , unstable and the form of Signal spectrum reflects the Performance of the human heart muscle and its health.is random changes sharp and irregular in time series represents the work of the heart of a natural person (without straining) include what is known Outliers caused by its actual nature not the result of errors in the measurement or the register, which makes them do not follow a particular distribution, led to the difficulty of conducting Assessments for Power spectrum according to the traditional methods of estimation that assumes distributed statistically,In addition to that the data generation processes require the availability of basic assumptions is inconsistent with the nature of the Heart signal ECG, and to minimize or reduce these assumptions adopted by the simulation approach often leads to unrealistic and far from the real system results and establishes a breakthrough for good properties of these estimates that we have made it necessary to adopt the idea of Robust estimates (M - estimate) in accordance with the Robust functions (Huber, Hample, Tukey, Andrew) in addition to the method of maximum likelihood Mle according to restricted simulations in the practical side, which serves as a purification process or soften the Estimators resulting from follow of statistical estimation methods on real data to determine the best estimators of Power spectrum and the search for the best Model and section distribution , and then apply the result of a trade - offs in according to indicator the indirect transition of the speed of the signal (?/S2) between the Estimation functions and Distributions on eight of combinations of Mixed model ARMA (p, q) and estimating MSE, RMSE and selecting the optimum combination which is ARMA (2,2) with Extreem value distribution and with Hampel function at section 200, which amounted to (MSE = 0.000109).

الاتساق الذاتي وتحليل المكونات الرئيسة == The Self - Consistency And Principal Component'S Analysis

Author name: سحر طارق محمود الرحيم
Supervisor name: رفعت لازم مشعل الخميسي
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Baghdad
First pages:
Abstract: تعني عبارة " الاتساق - الذاتي " اختبارا لمحور المكونات الرئيسة عندما يرتكز التوزيع على المحور الذي يعطي تقريبا بسيطا للتوزيع الاصلي متعدد المتغيرات.جرت عملية الاختبار بفحص نقص المطابقة Lack of Fit Test في ضوء طريقة البوتستراب (Bootstrap ) اي ( تكرار ا | The term " Self - Consistency " means ; examine the Self - consistency of a principal components axis : when a distribution is centered on a principal component axis, which provides a simple straight line approximation to a multivariate distribution.A principal component axis of a random vector X; is self - consistent if each point on the axis corresponds to the mean of X given that X projects orthogonally on to that point.this examination is done by " Bootstrap - Lack of fit " test applied on to two kinds of data set (real and simulation) with different samples (small, medium, large),depending on the probability values for getting levels of significance (to assess the self - consistency of principal component axis) which is based on the frame work of the data set, whether it will be true (towards to the elliptical form for the multivariate normal distribution) or generated data set using the restrictive simulation ( towards to the asymptotic spherical form for multivariate normal distribution ) that's for estimating the self - consistency by the hypothesis ;Hk : Yk is self - consistent for Xprincipal component analysis for factor analysis is use with the aim of analyzing the large number of variables and their effective factors by the factor rotation procedure which is assumes also the multivariate normal distribution, with proposed technique, based on the smallest column on X for different sizes of samples ( small " 5 - 20 " , medium " 25 - 50 ", and large " 60 - 100 ").High level of fit, is the result of " Bootstrap - Lack of fit" test in all sample size for all research variable's; with little difference and the best for male group of the results for female group on the size ( 5 - 35 ) , conversely for another size's.and also we saw highest level of self - consistency in the small sample size ( 5 - 20 ) for true data set using direct oblimin rotation method for male group, in the medium sample size ( 25 - 50) using the same method with direct method( None) for female group.In generated data set by normal restricted simulation technique, also high level of fit is the result of " Bootstrap - Lack of fit " test in all sample size's and for all sample Size's (small, medium, large) and for tow group's (male, female), which indicate to the usefulness of using the restricted simulation technique to take pure data set, and the model with high level of stationary.also we saw highest level of self - consistency in the different sample size's, using the varimax rotation method for tow Group's (male, female), the two method's ( none, direct oblimin rotation) in some of sample size's which refers to corresponding the normal stat with varimax rotation method ,that is well known of its object for simplified explaining the factor matrix by maximization the loading variance
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