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استعمال التحليل التمييزي في تصنيف درجة التشوه للولادات == Use of discriminatory analysis in the classification of the degree of deformity of births

Author name: شهد نجم عبد الله
Supervisor name: عائده هادي صالح
Specific topic: Statistics
Degree: Higher Diploma
Language: Arabic
University location: Baghdad
First pages:

نمط انتشار مرض سرطان البنكرياس في المحافظات العراقية == Pattern of pancreatic cancer spread in Iraqi provinces

Author name: زهراء صاحب كاظم الخفاجي
Supervisor name: رواء صالح محمد
Specific topic: Statistics
Degree: Higher Diploma
Language: Arabic
University location: Baghdad
First pages:

استعمال بعض اساليب متعدد المتغيرات في تحليل البيانات الصحية

Author name: زهراء خالد باهض
Supervisor name: حسام عبد الرزاق رشيد
Specific topic: Statistics
Degree: Higher Diploma
Language: Arabic
University location: Baghdad
First pages:

بعض طرائق تقدير معلمات توزيع ويبل لوضع التنبؤات المستقبلية == Comparison of some Estimation methods for parameters of Weibull Distribution to set up the future forecasting

Author name: رائد فيصل شرهان المرياني
Supervisor name: عبد الرحيم خلف راهي الحارثي
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Baghdad
First pages:

دراسة مقارنة لبعض طرائق تقدير مصفوفة التباين والتباين المشترك الحصينة للمعلمات المقدرة بطريقة OLS == Comparative Study of Some Methods of Estimating Robust Variance Covariance Matrix of the Parameters Estimated by (OLS

Author name: ديان حميد مجيد الربيعاوي
Supervisor name: سلمى ثابت ذاكر الالوسي
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Baghdad
First pages:

تقييم الاثار المترتبة لادمان المخدرات بين الشباب باستخدام اسلوب المعاينة المختلطة المتسلسلة == Assess the Effects of Addiction Among youngest using Sequential Mixed Method Sampling

Author name: دعاء حبيب غضبان
Supervisor name: سهاد علي شهيد
Specific topic: Statistics
Degree: Higher Diploma
Language: Arabic
University location: Baghdad
First pages:

تصميم عدم استمرارية الانحدار(RD) في تقييم البرامج مع تطبيق عملي == Regression Discontinuity Design (RD) for Evaluating Programs with Practical Application

Author name: حسـن يحيى حسن
Supervisor name: افتخار عبد الحميد النقاش
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Baghdad
First pages:

مقارنة انموذج المؤشر المنفرد المعلمي وشبه المعلمي مع تطبيق عملي == Comparisons parametric and semi parametric single index model with Application

Author name: حبيب صفاء قاسم الفريجي
Supervisor name: عدي طه رحيم العنبكي
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Baghdad
First pages:

مقارنة طرائق بيز والمربعات الصغرى الشرطية لتقدير معلمات انموذج العتبة للانحدار الذاتي عندما يتبع حد الخطا توزيع (Pareto) مع تطبيق عملي == Comparison of Bayes and Conditional Least Squares Methods to Estimate the parameters of Threshold Autoregressive Models When the Error term follows Pareto Distribution with Practical Application a

Author name: اياد جواد حسن
Supervisor name: جواد كاظم خضير الموسوي
Specific topic: Statistics
Degree: Doctorate
Language: Arabic
University location: Baghdad
First pages:

مقارنة بعض اللوحات اللامعلمية متعددة المتغيرات في عملية السيطرة الاحصائية على النوعية مع تطبيق عملي == A Comparison of Some Nonparametric Multivariate Control Charts in the Statistical Quality Control Process With Practical Application

Author name: امينة كريم عيسى السوداني
Supervisor name: حمزة اسماعيل شاهين
Specific topic: Statistics
Degree: Doctorate
Language: Arabic
University location: Baghdad
First pages:

استخدام مظروف البيانات في تقويم كفاءة اداء كليات جامعة بغداد باعتماد اوزان اسلوب التحليل الهرمي الضبابي == Using Data Envelopment Analysis in Evaluating Performance Efficiency for Colleges of Baghdad University Depending on the weights gained from Fuzzy Analytic Hierarchy Process

Author name: امجد هبة الله حمزه الكناني
Supervisor name: حامد سعد نور الشمرتي
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Baghdad
First pages:

مقارنة بعض الطرائق الحصينة لتقدير معلمتي توزيع دالة القوى مع تطبيق عملي == Comparison of some robust methods for estimating power function distribution parameters with application

Author name: امانة عماد لعيبي المحمداوي
Supervisor name: خولة حسين احمد
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Baghdad
First pages:

التحليل الاحصائي لاستبانة ضمان الجودة لطلبة جامعة ذي قار == Statistical Analysis for Questionnaire Quality Assurance for Students of Dhi Qar University

Author name: افياء رحيم خضير
Supervisor name: عادل احمد هدو
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Baghdad
First pages:

استخدام سلاسل ماركوف المخفية في تحليل البيانات الحيوية == Using Hidden Markov Chains in Biological data analysis

Author name: اسماء حسين سمير ديوان
Supervisor name: عبد الرحيم خلف راهي الحارثي
Specific topic: Statistics
Degree: Doctorate
Language: Arabic
University location: Baghdad
First pages:

استعمال لوحات السيطرة الحصينة متعددة المتغيرات في السيطرة النوعية على الانتاج مع تطبيق عملي == Using the multivariate Robust control charts for Quality control in production - with application

Author name: اريج ابراهيم توفيـق
Supervisor name: حمزة اسماعيل شاهين
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Baghdad
First pages:

مقارنة بعض المقدرات الحصينة لمعلمتي الموقع والقياس للتوزيع الطبيعي متعدد المتغيرات مع تطبيق عملي == Comparison of Some Robust Estimators for Location and Scale of Multivariate Normal Distribution with Practical Application

Author name: احمــد عباس مصــلح
Supervisor name: حمزة اسماعيل شاهين
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Baghdad
First pages:

استعمال اسلوب بيز والبرمجة الهدفية في تقدير معالم الانحدار == Bayes Method & Goal programming to estimate the regression parameters

Author name: احمد تركي عبد علي
Supervisor name: جاسم ناصر حسين
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Karbala
First pages:

اختيار افضل تقدير نموذج انحدار لتوزيع ذي الحدين السالب مع تطبيق عملي == Choice of best estimate of regression model to negative binomial distribution with practical application

استعمال التجارب العاملية في دراسة تاثير التفاعل مابين الماء الممغنط والمركبات النانوية في احد مؤشرات النمو لنبات الفلفل == Using of factorial experiment design to study the effect of interaction between magnetized water and Nano particles in one growth indicators of peppers

Author name: مرتضى معطي هادي الفتلاوي
Supervisor name: عواد كاظم الخالدي | بشير عبد الحمزه العلواني
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Karbala
First pages:

استعمال بعض طرائق التنبؤ المختلفة لتحليل اعداد المصابين بالاورام الخبيثة == Use of different prediction methods To analyze the numbers of patients with malignant tumors

Author name: صفاء مجيد مطشر الكلابي
Supervisor name: عدنان كريم نجم الدين
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Karbala
First pages:

دراسة تطبيقية لتحليل التمايز في بعض النماذج الاحصائية == An Applied Study to Analyze Discriminant in Some Statistical Models

Author name: مريم مهدي عناد الخزعلي
Supervisor name: شروق عبد الرضا سعيد السباح
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Karbala
First pages:

مقارنة مقدرات انحدار الحرف والمركبات الرئيسية والمربعات الصغرى الجزئية في نموذج الانحدار

Author name: زينب كاظم مزهر القريشي
Supervisor name: شروق عبد الرضا سعيد السباح
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Karbala
First pages:

استخدام المتغيرات الموزعة زمنيا في تحليل الانفاق الاستهلاكي في العراق للمدة (2014 - 1995) == The Use of Temporally Distributed Variables in the Analysis of consumer spending in Iraq for the Period (2014 - 1995

Author name: اسراء فالح فاضل المسافري
Supervisor name: عدنان كريم نجم الدين
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Karbala
First pages:

اختيار النموذج الافضل لصفوف الانتظار في تحدين الخدمة المصرفية == Choose the best model for queues In improving the banking service

Author name: انصاف جاسم مهدي المسعودي
Supervisor name: عبد الحسين حسن حبيب الطائي
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Karbala
First pages:

العلاقة بين جدول تحليل تباين الانحدار وجدول تحليل تباين التجارب العاملية الكاملة == The relationship between the regression ANOVA table and ANOVA Table in Complete Factorial Experiments

Author name: رواء نوري حسين الشيخلي
Supervisor name: عواد كاظم الخالدي
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Karbala
First pages:

اختيار افضل طرائق تقدير المتغير المعتمد متعدد الاستجابة == Choose the best estimation Methods for the multi - response dependent Variable

Author name: ليث علي محمد الحيالي
Supervisor name: عبد الحسين حسن حبيب الطائي
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Karbala
First pages:

تقديرات دالة المعولية لتوزيع بواسون مع تطبيق عملي == Estimation of reliability function for Poisson distribution With practical application

Author name: زينب محمد باقر صادق الباقر
Supervisor name: عبد الحسين حسن حبيب الطائي
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Karbala
First pages:

دراسة الارتباط القانوني في نماذج الانحدار الخطي واللا خطي : دراسة تطبيقية == Study Canonical correlation in regression models linear and non linear Applied study

Author name: الاء فلاح حسن عطوان
Supervisor name: شروق عبد الرضا سعيد السباح
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Karbala
First pages:

استخدام اسلوب البوتستراب في تحليل النماذج المعلمية و شبه المعلمية و المقارنة بينهما == Use The Bootstrap in Parametric Models and Semi - Parametric Analysis and Comparison Between Them

Author name: نـور عـباس عمران النــصــراوي
Supervisor name: شــروق عــبـــد الــــرضا الســـباح
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Karbala
First pages:

استخدام التحليل الشكلي لمقارنة تاثير بعض المواد الكيميائية على صفات نبات الخيار == The use of profile analysis to compare the effect of some chemicals on the properties of cucumber

Author name: نبراس صلاح مهدي الموسوي
Supervisor name: شروق عبد الرضا سعيد السباح`
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Karbala
First pages:

توظيف تحليلات التجربة العاملية في تقدير انتاجية محصول الباذنجان في البيوت الخضراء الزراعية == Utilizing the analysis of factorial experiment in estimating the productivity of eggplant crop in the greenhouses

Author name: حمزة عماد عباس الدبس
Supervisor name: عواد كاظم الخالدي
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Karbala
First pages:

تقدير معولية نظام Cascade الاجهاد - المتانة لتوزيع احتمالي == Estimation of the reliability of the Cascade Stress - Strength System For probability distribution

Author name: سناء علي محمد العبودي
Supervisor name: مهدي وهاب نعمة نصر الله
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Karbala
First pages:

توليد المتغيرات العشوائية لتخمين معلات توزيع لوجستك باستخدام محاكاة منت كارلو == Generating Random Variates for Estimating the Parameters of Logistic Distribution by Monte Carlo Simulation

Author name: زهراء امروي علي حيدر الحجار
Supervisor name: اكرم محمد العبود
General topic: Mathematics
Specific topic: Statistics
Degree: Master
Language: English
University location: Baghdad
First pages:
Abstract: In this work, we consider the Logistic distribution of two parameters for its importance in statistics. Mathematical and statistical properties of Logistic distribution are considered, moments and higher moments are illustrated to the distribution parameters, namely, moments methods, maximum likelihood method, modified moments method, least squares method are discussed theoretically and assessed practically by utilizing two procedures of Monte Carlo simulation for generating random variates from the Logistic distribution. Properties of the estimators, such as Bias, variance, skewness, kurtosis and mean square error measurement are tabulated.

استخدام طريقة المربعات الصغرى المتناقصة والتمهيد المباشر في تقدير معلمات انموذج فورير للسلاسل الزمنية الموسمية == Using The Discounted Least Squares And Direct Smoothing Method For Estimate Fourier Parameters For Seasonal Time Series

Author name: محمد عبد الحسين محمد الغريباوي
Supervisor name: سلمى ثابت ذاكر الالوسي
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Baghdad
First pages:
Abstract: هناك العديد من الطرائق التي يمكن استخدامها في دراسة السلاسل الزمنية الموسمية , وطريقة فورير واحدة من هذه الطرائق التي تتعامل مع بيانات السلسلة الزمنية كسلوك جيبي باستخدام الدوال المثلثية. في هذا البحث تم استخدام (طريقة المربعات الصغرى المتناقصة والتمهيد

الطرائق التقليدية والطرائق البديلة لاختبار جذر الوحدة لاستقرارية السلسلة الزمنية : دراسة مقارنة == Traditional Methods And Alternative Methods To Test The Unit Root For The Stationary of Time Series - A Comparative Study

Author name: كوثر خضر ناصر الزيدي
Supervisor name: نزيه عباس المشهداني
Specific topic: Statistics
Degree: Doctorate
Language: Arabic
University location: Baghdad
First pages:
Abstract: يعد تحليل السلاسل الزمنية من الاساليب العلمية والاحصائية لتمثيل العلاقة لبيانات السلسلة الزمنية وتفسير سلوك الظاهرة من خلال دراسة تطورها التاريخي عبر مراحل زمنية، ويلاحظ في الحياة العملية والتطبيقية ان هناك العديد من السلاسل الزمنية لا تملك صفة الاستقرا | The time - series analysis of scientific methods and statistical representation of the relationship of the time series data and interpret the behavior of the phenomenon through the study of its historical development through the stages of time , and notes in the life process and applied that there are many time series do not have the recipe stability, So researchers began detects this problem and adopted for this purpose several methods of which are the subject of the unit root test , as this test of tests shows the task being equal to the number of roots per the correct number that corresponds to the necessary differences of the time series in order to turn out to be stability,. The condition of stability, of a specimen autoregressive is that all the roots of the equation distinctive located outside the unit circle , and the style of taking the differences necessary in order to transform the time series to the stability, style is not accurate to some extent to the fact that the probability of taking a number of differences more than required leads to inaccuracy of the work , so the test roots style is to know the number of differences required for the series studied the application of statistical methods for this test , and there are several ways to conduct this test , including traditional methods and modalities amended, has been comparisons between the methods used and the proposed method by the researcher through simulation through programs written by the researcher and the adoption of the application (Mat lab) where the comparison was between four models of testing unit root and through the results was reached similarities between the test (ADF, PP) and test(KPSS,LM) So was the adoption of a test (ADF, KPSS) and comparison with the proposed method, where the application has proved that there is a disparity between the test (ADF) and (KPSS) depending on the features and sizes of the samples, and that the proposed method was closer to a (KPSS) test , and have also been using data oil prices immediate (Spot Oil Price) for a time series of the month of January 1988 and up to the month of July 2013 and the application of unit root tests them through the use of application - ready (Eviwes).

استعمال انموذجات بوكس جينكنز للتنبؤ بوفيات حوادث المرور في محافظة كربلاء المقدسة للمدة 2010 - 2015 == Using Box - Jenkins’s Models For Analysis Road Accident Fatalities In Holly Karbala For The Period (2010 - 2015)

Author name: صبا جسوم عكلة
Supervisor name: عدنان كريم نجم الدين
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Baghdad
First pages:
Abstract: Time series Aproach concidered of important topics that it deals with the behavior of phenomena and its interpretations through different periods of time. This thesis aims to analyse Road Accident Fatalities in Holly Kerbala for period (2010 - 2015 ) using time series technique ( Box&Jenkins ) method.The outcome of the series analysis showed that the appropriate model is ARIMA )0,1,1).According to this model 10 years forcasts in monthly base was obtained for the Road Accident Fatalities inHolly Karbala for the period (2016 - 2026 )One of the important findings of this thesis is the consistency of the forcasts with the observed one which refers to the efficiency of the model.

دراسة مقارنة لبعض طرائق تقدير الانموذج الديناميكي المكاني الخاصة بـ (Panel Data) مع تطبيق عملي == Compared Study To Some of The Methods of Estimating The Dynamic Spatial Model For (Panel Data) With Practical Application

Author name: سهاد علي شهيد مجيد التميمي
Supervisor name: حامد سعد نور الشمرتي
Specific topic: Statistics
Degree: Doctorate
Language: Arabic
University location: Baghdad
First pages:
Abstract: يعد انموذج القياس الاقتصادي المكاني (Spatial Econometrics Model) احد انواع النماذج القياسية اذ تهتم بدراسة تاثير التفاعلات المكانية مابين الوحدات الجغرافية على الظاهرة المدروسة، تلك الوحدات من الممكن ان تكون مدن، بلديات، مناطق، دول، محافظات،... الخ. وت | Spatial Econometrics models are part of the Econometrics models as concerned with the impact of spatial interactions between geographic units. These units could be cities, municipalities, regions, states, provinces, etc..... It can also be used such models to explain the behavior of economic factors, geographic units, such as individuals, companies, or governments, if they were linked with each other through a network, but this type of studies in spite of a lot of use but less common.Should be noted that the spatial modeling studies differs from the time - series modeling studies, as the time - series studies focuses on the dependency between observation when a period of time and used the symbol (t - 1) to refer to the Lagged variables in time. It must be emphasized here that the (Spatial Econometrics) is not a direct extension for (Time - Series Econometrics) for two reasons; The first is that any geographical units can effect each other mutually, while it cannot be if they were tow observation at a certain time. Another factor most complex wide variety of units of measurement, which qualifies them for modeling spatial dependency (convergence, distances, bonding, etc...) compared with the measurement time dependency (time).In this thesis was to review some of the parametric techniques to estimate (Spatial Dynamic Panel Data Model (SDPD)), as there is dependent variable Lagged in time and extra (Endogenous Variables) in Spatial Dynamic Panel Data Model (SDPD) invalidate the use of estimation methods known like (Ordinary Least Square (OLS)) and the method (Maximum Likelihood (ML(. To overcome these problems, there are many empirical studies that have been applied in a manner estimate (Generalized Moment Method (GMM)), which were developed by each of the (Arellano & Bover 1995) and (Blundell & Bond 1998). As the main reason behind the use of estimator (GMM) to estimate the (SDPD) model is its ability to correct the interference (Endogeneity), which came by spatial lag variable also reason is due to the internal variables. In addition, it is estimated (GMM) is robust to some econometric issues such as measurement errors and poor (Instrumental Variable (IV)), it can also control the problem (Heteroskedasticity) and the problem (Autocorrelation) in the random error term, add to that the flexibility in the implementation of the calculations. In addition to the method (GMM) can be used (Quasi - Maximum Likelihood Estimation (QMLE)) when (Random Error) is distributed (Independent and Identical Distribution (iid)) with Mean zero and variance (?_?^2(.Estimated which is obtained be biased and inconsistent so it was (Bias Correction) to estimator (QMLE), also called the method of estimation of these (The Direct Approach).It has also been used (The Transformation Approach) for the purpose of processing the Spatial before the estimate to reduce bias as much as possible.As one of the most important goals is to study the effect of( Spatial Dynamic Effect)) sense of how dependent variable coefficients change that represents the (financial allocations for the program of economic sectors of the regions development) Lagged in spatially and in time and represented by )W_n Y_(n,t - 1)(between the provinces as well as the impact study of by Lag spatial dependent variable )W_n Y_nt( for each province of the Iraqi provinces and at certain period of time. Add to describe the effects of explanatory variables (Exogenous Variables) any (of economic sectors of each province for a period of a certain time) represented (b agricultural sector, industrial sector, transport sector, buildings and services sector, education sector) level of each province for the period (2008 - 2015).In the case of the first model any presence influences the spatial fixed only the better way transfers the larger time periods (T), the estimators (? ?_nT) be consistent (Consistence) and possesses a good estimator convergent properties correct the bias is more effective and has a proximity naturally parameter characteristics (?). The second model in the case of any effects the presence of spatial and temporal fixed together, was also the best way transfers from the direct method the larger time periods (T).As in the case of the practical side show in the case of both models weakness autoregressive spatial coefficient of investment allocations it does not have any interaction between the provinces where positively affecting the distribution of assignments better and to meet the economic development of each province

بناء انموذجي بقاء معلمي ولا معلمي لمرض التدرن في بغداد

Author name: حسنين جليل نعمة الساعدي
Supervisor name: حامد سعد نور الشمرتي
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Baghdad
First pages:
Abstract: ان الفكرة الاساس للبحث بدات من محاولة ايجاد تطبيق للانموذج الاحصائي المعلمي واللامعلمي في دراسات البقاء والحدث الحرج ( الوفاة , شفاء ) للمصابين بمرض التدرن الرئوي وغير الرئوي والتي تتطلب اتخاذ قرارات تستند على اسس علمية , حيث تم اختيار الانموذج اللوجستي ا

التقديرات الحصينة للانحدار الضبابي == Robust Estimations For Fuzzy Regression

Author name: محمد جاسم محمد
Supervisor name: ظافر حسين رشيد النجار
Specific topic: Statistics
Degree: Doctorate
Language: Arabic
University location: Baghdad
First pages:

استعمال بعض الطرائق اللامعلمية في تقدير نموذج الانحدار الذاتي اللاخطي بوجود متغير خارجي مع تطبيق عملي == Using Some Nonparametric Methods For Estimation of Nonlinear Autoregressive Model With Exogenous Variables With Application

Author name: علي سلمان حبیب
Supervisor name: فراس احمد محمد
Specific topic: Statistics
Degree: Doctorate
Language: Arabic
University location: Baghdad
First pages:
Abstract: The analysis of the nonlinear time series, namely the Nonlinear Autoregressive with Exogenous Variable (NARX) model, is considered one of the complex problems.Correct order determination is very important to identify the model. Two different methods are proposed to determine the order for (NARX) model. The researcher also uses three different nonparametric methods to estimate nonlinear regression function of the model.The first proposed method to determine the order for (NARX) model was the Additive Splines Estimation to determine the correct order of the model. This method is based on Additive Property to treat the augmented ( Curse Dimensionality ) problem.The second proposed method was Cross - Validation approach leave one out, based on the kernel estimate of regression function which is directly based on data. Three different methods are used for model estimation. The first method is Smoothing Splines. The second is Artificial Neural Networks (ANN) ,and the third is the BRUTO algorithm which is an adaptive backfitting and uses Generalized Cross - Validation.For comparison purposes between the various estimation nonparametric methods and to find out the best fitting for the data, two Criterion are used : Mean Square Error (MSE) and Mean Absolute Proportional Error (MAPE), and select the best method which gives the best fitting of the data ; then applying the best method on the Electrical Loads and Temperature in Basra Governorate for the months (from May to October) in 2015. The researcher concluded that Additive Splines method play an effective role in order determination for the used model and the results show that the identified order is close to the correct order; and that the ANN is the best estimation for (NARX) model

مقارنة مقدرات بيز لدالة المعولية لانموذج ويبل للفشل باستعمال دوال خسارة مختلفة مع تطبيق عملي == A Comparison of Bayes Estimators For Reliability Function of Weibull Failure Model By Using Different Loss Functions With Practical Application

Author name: صبا صباح احمد الجميلي
Supervisor name: لميعة باقر جواد الجواد
Specific topic: Statistics
Degree: Doctorate
Language: Arabic
University location: Baghdad
First pages:
Abstract: Weibull failure model considered being one of the well known failure models because of its different applications in addition to its importance in the reliability field and life tests.This thesis focused on a comparison of standard Bayes estimators for reliability function of the two parameters Weibull distribution by usingsix different loss functions, three of them have been suggested by the researcher.And for that, the methodology of this thesis depended on the following methodologies : - First : - Theoretical study, the standard Bayesian estimations has been derivatives elaborately to reach the Bayes estimators forms for the reliability function of Weibull distribution by using symmetric and asymmetric loss functions which been explained elaborately, and these are quadratic loss function, logarithm loss function and precautionary loss function to reach to the standard Bayes estimators which called quadratic Bayes estimator (QB), logarithmic Bayes estimator (LB) and precautionary Bayes estimator (PB)) respectively. And those loss functions have been Modified by suggested three modified loss functions counterpart to the functions above to reach proposed estimators which called (modified quadratic Bayes estimator (MQB), modified logarithmic Bayes estimator (MLB) and modified precautionary Bayes estimator (MPB)) respectively.Second : - Experimental study by designing number of simulation experiments using various values of parameters and sample sizes, and with repetition of (10000) times for the comparison among the estimators and by using the mean square error (MSE) to reach efficient estimators with minimum variance. And a collection of real negative and positive values have been tried for the constant which is used in proposed loss functions to reach the best value may used in the comparison, and then a comparison between the six preference estimators is done to show which estimator is the most accurate to be used for estimation the reliability function of Weibull failure model, and best results have been obtained from those simulation experiments.The results of these experiments showed that the modified precautionary Bayes estimator (MPB) is the best for the reliability function of Weibull failure model than the other estimators which have been used in this thesis, and the second best method is the modified logarithmic Bayes estimator (MLB), and after that the precautionary Bayes estimator (PB) and then the modified quadratic Bayes estimator (MQB), also all proposed estimators are better than the logarithmic Bayesestimator (LB) and the quadratic Bayes estimator (QB) which results not to be shown in preferences.Also the results of these experiments show that every proposed estimator is better than its known counterpart.Third : - Application study by taking the best Bayesian estimator in the simulation experiments which is the proposed modified precautionary Bayes estimator (MPB) and applied practically on two experimental real data from WeatherFord company for oil well digging in the Bazergan area of Misan governorate which are represented by the time to failure of the operation of the drilling fluid pumps.From all above, the most important conclusions and recommendations have been offered from the results of this thesis as a specific contribution in the reliability field.

بناء منظومة خبيرة لتشخيص التقارب لبعض التوزيعات الاحتمالية المتقطعة == Design An Expert System To Determine The Approximation In Some of Probability Distribution

Author name: وليد مية رودين
Supervisor name: علي عبد الحسين الوكيل
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Baghdad
First pages:
Abstract: ان الاستخدام الكبير والمستمر للتوزيعات الاحتمالية جعل هذا الحقل المتخصص متميزا في علم الاحصاء حيث يدل على مجموعه من الاحتمالات المرتبطة بقيم متغير عشوائي ناتج عن نوع خاص من التجارب , فعلى سبيل المثال توزيع ثنائي الحدين فان قيم المتغير العشوائي المرتبط بت | The wide and continuous use for probability distribution made this specialized field distinctive in statistics science , that leads to a bunch of choices connected to values of random variable results from especial kind of experiments , as example binomial distribution the values of the random variable related to its experiments satisfies specific general conditions follows this distribution , when we study this distribution we can exclude expert on expectation related to all experiments that satisfies these general conditions according on what precedes it is suggested a(unit) instead of an statistics expert in searching field Depending of what precedes, we suggested a system instead of a statistical expert in the ( domain of determination of the approximation values ) between the probability distribution and determine the fit distribution of users data , The suggested system is an (statistical expert system ) , which have took its statistical knowledge from scientific resources and human experience to provide the needed consultation , which can be provided and any statistical expert (ITD) This system has a statistical knowledge base about , binomial distribution , and poisson and the relationship between a normal distribution , in addition to the statistical knowledge to determine the value that must the binomial approximate to the poisson , also the case is lead to approximated to the normal distribution.Also it has a statistical knowledge to calculate all distributions probabilities, in addition to all other measurements

المقارنة بين اختبار Shapiro - wilk وJureckova باستخدام المحاكات ولعدة توزيعات == Coodness - Of - Fit Test In Non Paramatric Tests

Author name: وفاء جاسم محمد العقابي
Supervisor name: دجلة ابراهيم مهدي العزاوي
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Baghdad
First pages:
Abstract: البحث يدرس عملية المقارنة بين اختبار (Shapiro - wilk) واختبار (Juareckova) قبل التوسيع وبعده. عندما اقترح Shapiro - wilk اختبار حسن المطابقة الحدسي( Nuisance location and Scaie Parameters ). ثم توسيعه الى حالة انحدار الازعاج المكاني ومعالم القياس (Nui | The research subject is the studying of the comparison between ( Shapiro - Wilk) and (Jurekov'a) test before and after the expansion , studying the effect of the sample size on the comparison, also the effect on test function distribution i.e.(diagnosing which tests asymptotic from the normal distribution ). Then applying the generating data which is simulated by several distributions which are normal distribution, Cauchy distribution, Laplace distribution, Logistic distribution, by changing the significance level ? by taking ( ? =0.01 ?= 0.05 ?= 0.1) The used assumption in this study is to study the matching between faults distribution and the distributions used in the study.

طرائق تقدير انموذج راش للبيانات المصنف متعددة القياسات مع تطبيق عملي == Methods of Estimating The Rasch Model For Multiple Categorical Data Measurements With Practical Application

Author name: وضاح صبري ابراهيم المناصير
Supervisor name: دجلة ابراهيم مهدي العزاوي
Specific topic: Statistics
Degree: Doctorate
Language: Arabic
University location: Baghdad
First pages:
Abstract: يعتبر انموذج راش (The Rasch model)، من اهم نماذج نظرية السمة الكامنة (Latent Trait Theory) للنظرية المعاصرة لقياس سلوك الفرد، المبني على البيانات المصنفة، وهو احد نماذج الاستجابة للفقرة الاحادية البعد، بمعنى ان درجة الفرد في الاختبار لا يجب ان تكون دالة ( | Rasch Model is considered as one of the important models in Latent Trait Theory for the contemporary Theory to measuring human behavior that depends on categorized data. It is one of the response models for one dimension point i.e., the mark of an individual within test mustn’t be regarded as an evaluation for other individual’s samples that are used within Item Calibration.Therefore, the thesis aims at comparing some methods for Rasch Model’s parameters for Categorical Data Measurement by using Mean Absolute Percentage Error (MAPE).The following methods are also used : The Joint function of Maximum Likelihood Estimation Method (JML), The Maximum Likelihood Estimation Method (MLE), Cohen’s Approximation Estimation Method (CAE), and Bayesian Estimation Method ( BEM ) and the first adjusted Bayesian Estimation Method ( BEMFS ) and the second adjusted Bayesian Estimation Method ( BEMSS ). The thesis includes a suggestion for a method to find the initial values of Rasch model’s parameters that are used in the previous mentioned methods and simulation is also used for overgeneralizing the results for the methods within various sizes levels, in which n : (n=10 , n=25 , n=75 , n=150 , n=300 , n=500 ) and ( n ) represents the individuals and (m) represents the number of the items ( m= 10 , m= 25 , m=35 , m= 45 ) and four different distributions are used ( Binomial , Poisson , Normal , Beta ). It is found that the best method for estimating the parameter of item difficulty (?_j), is The Joint function of Maximum Likelihood Estimation Method (JML) and the best method for estimating the parameter of individual’s ability (B_i), is the Bayesian Estimation Method of the Second Adjusted. Danial’s test for intelligence is used in AL - Mustansyria University, College of Administration and Economics, Fourth year, morning studies only and the number of students are (531). The main conclusions are : By comparing all the methods with the suggested ones to estimate Rasch model’s parameters , it is found that the best estimating for the parameter of individual’s ability (B_i), is the Bayesian Estimation Method of the Second Adjusted by depending on the smallest value for Mean Absolute Percentage Error (MAPE) and all the distributions are concrete and constant. It is found by comparing the methods to estimate the parameter of item difficulty (?_j) that the Joint function of Maximum Likelihood Estimation Method is the best for estimation , in which Mean Absolute Percentage Error (MAPE) is appeared with the smallest value and for all the concrete and constant distributions. It is found from the average of the correct answers of the testes that the tests items are within a closed level for each item and this gives the opportunity to students to answer the items. It is found from the average of the correct answers of the testes that the average of response is very good and it is between ( 0.47 - 0. 26 ) for more than 500 students from the total 531. This shows the similarity between students to have Danial’s test for intelligence. It is found from standards statistics ( T ) for the test items after comparing them with the tabled value for the natural distribution of the moral connotation ( a = 0.05 ) and the value ( 1.6449 ) that all the values without moral connotation and this confirms the acceptance of the test’s items to apply it on students’ sample which has different levels of difficulty but still parallel.

مقارنة طرائق تقدير المعلمات والمعولية لانماذج الاختبارات المعجلة والنمو لبيانات المراقبة من النوع الثاني مع تطبيق عملي

Author name: ورود باسم نور بهية
Supervisor name: انتصار عريبي فدعم الدوري
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Baghdad
First pages:
Abstract: نظرا لاهمية المعولية في التطبيقات الصناعية والهندسية فقد ظهرت الحاجة لاختبارات المعولية والتي هي سلسلة من الاختبارات والكشف عن العوامل التي تظهر خلال الاختبار وتاثيرات ومسببات عطل الماكنة نتيجة سوء الاستخدام وغيرها من الاسبباب وكذلك معرفة مدى ملائمة الان | Reliability has an important role in both the industrial and engineering applications. So the need for Reliability Tests appeared are series of tests a discover out of factors that appear through the test, also an effects too casese to defuse, probably to be created cases misuse a machine and other than, knowledge limit of fit a specifics production addition for getting on goodness of production. Therefore, the need for research to set of tests for censor data from ( Type II ) for exponential distribution with one parameter and these tests it’s (Accelerated Life Testing) to complete estimation parameters and reliability for the test models and these models it’s (Accelerated Cycling, Constant Stress ,Arrhenius and Eyring ) with tow methods ( maximum likelihood method, least squares method ) for all models above ,either Number of Units on Test To be complete calculation number of units inside in the test. And the other test is Reliability Growth includes three curves are Idealized Growth curve estimation parameters and reliability with maximum likelihood method, Duane Growth curve takes estimation parameters and reliability with least squares method, Exponential Reliability Growth Curve take estimation parameters and reliability by means of constraints for finding an optimal solution. Also The thesis so falls into four chapters. the first chapter is the introduction, the objective of the thesis as well as the review of literature. the second chapter tackles theoretical aspects contains exponential distribution,properties exponential distribution, estimation method, acceptance testing, accelerated life test, reliability growth testing and confidence intervals. The third chapter(application side)include tow parts,the first takes censor data (type II) from source (separate the soap off Al - Rasheed factory) and subjugate it for goodness of fit tests to be complete application on accelerated and growth tests, the second takes the simulation experimental and compared between estimation parameters for tests accelerated and growth for all models the test by depending on the statistic measure (MSE). Finally, the fourth chapter contains the more important findings and recommendations as well as the future visions which the thesis included. Also the thesis contains computer programs prepared by the researcher as well as another especial attaches.

طرائق تقدير معلمات الانموذج المختلط الخطي الطبيعي الملتوي في حالة القياسات المكررة مع تطبيق عملي == Method of Estimating Parameters of The Skew - Normal Linear Mixed Model In The Case of Repeated Measures With Practical Application

Author name: هند وليد عبد الرحمن الجبوري
Supervisor name: محمود مهدي حسن البياتي
Specific topic: Statistics
Degree: Doctorate
Language: Arabic
University location: Baghdad
First pages:
Abstract: تم في هذا البحث دراسة احد اهم النماذج الواسعة الاستعمال والتطبيق في تحليل البيانات التي تتصف بكون المشاهدات فيها تاخذ شكل قياسات مكررة Repeated Measures والذي يعد تعميم للانموذج المختلط الخطي (LMM) في حالة عدم تحقق الطبيعية Normality، وهو الانموذج المختل | In this research, the one of the most important widely used and application model was studied in analysis the data which are described by the observations take repeated measures form, which regarded as generalization of Linear Mixed Model (LMM) in the case of the lack normality, it is the Skew - Normal Linear Mixed Model (SN - LMM), which widely used to analysis the longitudinal data that characterized by the observations take repeated measures form and correlated among of them, this model express of these correlations by the random effect, it also achieved normality through the assumption that the data are distributed multivariate skew normal distribution.Also the research is concerned with the multivariate skew distribution generally and multivariate skew normal distribution specially with addressing the importance and used of these distributions, then dealing with the Skew - Normal Linear Mixed Model (SN - LMM) from its importance, used, properties, modeling, and parameters estimation methods Three important method are used for estimation the fixed effect parameters, random effect parameters and skewness parameters, in addition a proposed method by researcher, these methods are : 1) Maximum likelihood (ML) Method.2) Restricted Maximum Likelihood (RML) Method.3) Bayes Method.4) Proposed Method.A comparison among the best of these methods is made in the application aspect which contained the practical application on two clinical experiment including two samples of diabetic patients data, Who were given a new drug, the data of two samples are represent the repeated monthly measures for the level of sugar and some other variables which are taken for patient from the beginning of the experiment, after three months , and after six months from start to give them the new drug, in aim to study the effect of age and sex, which represented the fixed effect, also the visits times, that the repeated monthly measures are taken in these visits for the sugar level and other variables which represented the random effect, the comparison among the best method are held by using statistical standard the Mean Square Error (MSE), it was found in general that the proposed method is the best to estimate the fixed effects because of its lower mean square error compared to other methods, and the Bayes method is the best among these method to estimate the random effect and random errors because of its lower mean square error compared to other methods.

مقارنة طرائق تقدير معلمات الانـموذج الثنائي اللوجستك المختلط باستخدام المحاكاة مع تطبيق عملي == Comparing The Estimation Methods of The Parameters of The Logistic Linear Mixed Model By Using The Simulation With Practical Application

Author name: هند وليد عبد الرحمن الجبوري
Supervisor name: ظافر حسين رشيد النجار
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Baghdad
First pages:
Abstract: تم في هذا البحث دراسة احد اهم النماذج الواسعة الاستخدام والتطبيق في تحليل البيانات التي تاخذ شكل تجمعات Clustered والتي تكون ذات استجابات مرتبطة Correlated وهو الانموذج الخطي العام المختلطGeneralized Linear Mixed Model (GLMM) لتحليل البيانات الطولية Long | This research was conserning in the study of one of the important models that are widely used in analyzing the data which take clustered form and have correlated responses, this model is Generalized Linear Mixed Model (GLMM) for analyzing the longitudinal data which it's responses are correlated. So this research was dealing with this model in an expanded form including its importance, uses, feature, modeling and the estimation methods then focusing on one of the most widely used examples when the responses of longitudinal Data are Binary which is Binary Logistic Mixed Model taking into account its modeling, importance, uses and the parameters estimation methods, so three important estimation methods were used to estimate the fixed and random effects parameters and these are : 1) Classical maximum likelihood (ML) Method.That include three basic algorithm by which the maximum likelihood estimator is obtained and it's as follows : I) Monte Carlo Newton Raphson (MCNR).II) Monte Carlo Expectation Maximization (MCEM).III) Simulation Maximum Likelihood (SML).2) Robust Maximum Likelihood (RML) Method.3) Penalized - Quasi Likelihood (PQL) Method.In the experimental aspect comparison was done of which is the best among these methods through the simulation procedure by using Monte Carlo method and implementing several experiments using two of the important statistical measures which are Mean Square Error (MSE) and Bias, generally as a result it was found that Robust Maximum Likelihood (RML) Method is the best between these methods as it has minimum Mean square error and minimum bias comparing with the other methods.While in the application aspect practical application was done on data represent the successive monthly measurements for diebetic children whom depend on the insulin treatment which represent the fixed effect and the patient represents the random effect in order to study the effect of both the insulin dose and the patient on the blood sugar rate, it was found that the insulin dose has significant effect on the blood sugar rate while the patient has not that effect

تقديرات الهجرة الداخلية في العراق باستخدام النماذج السكانية == Internal Migration Estimates In Iraq By Using Population Models

Author name: هالة وليد حمدي الزبيدي
Supervisor name: بشرى علي يعقوب الجعفري | خالد زهدي مصطفى خواجه
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Baghdad
First pages:
Abstract: ادى تزايد حركة السكان في العراق الى حصول هجرة داخلية.و لاهمية هذه المشكلة وما ترتب عليها من نتائج، لذا فقد حاولت الباحثة من خلال هذه الدراسة تحليل البيانات التي لها علاقة في نماذج حركة الهجرة الداخلية.وتهدف الى استنباط تيارات الهجرة الداخلية في القطر،وذ | Population Increasing movements in Iraq cause an internal migration. In spite of danger of this problem and what effects of it, so the researcher has tried through this study analysis the data, which relation in internal migration on models. Aiming at internal migration streams in country by using special population models of internal migration by direct and indirect methods. First chapter including general entrance displays general concepts and determines the problem and the purpose of the research and its importance and the background. The second chapter is measuring internal migration in Iraq and discusses the methods of the measure, the principal data references for migration, population distribution, the internal migration data in Iraqi census, the problem and difficulty of migration, the method of measuring internal migration from the census data is discussed by direct methods like Birth place, Duration of residence, The last residence and The reason of changing the residence place. The indirect methods like Vital statistics, The Survival ratio and National growth rate. The third chapter discusses the study of migration rates and ratios in Iraq and the demographic trace and divided into direct method like migration stream rates and in - migration, out - migration, net - migration rates and Birth - residence index, Gross intercensal interchange of population and Basic model. Indirect method like migration rates by using Survival ratio rates method, Vital statistics rates method, National growth rates method, and discuss the mathematical model and its relationship to internal migration, migration economic, demographic traces and migration effect on population growth. And the impetuses to internal migrations movement. The forth chapter discuss some important conclusions and recommendations.

تقدير الفعالية النسبية لانموذج القطع المكافئ في تجارب نسبة الميل لقياس تاثير زيتي الزعتر والكتان على الوزن == Estimation of Relative Potency For Parabolic Model In Slope Ratio Assays To Measure Effect of Thyme And Flax Oils On Weight

Author name: نضال بهجت محي الحيالي
Supervisor name: قيس سبع خماس
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Baghdad
First pages:
Abstract: يتناول البحث تقدير الفعالية النسبية (Relative Potency) لزيت الزعتر(الاختباري) نسبة الى الكتان (القياسي) لانموذج غيرخطي (parabolic model) باستعمال طريقة احصائية تكرارية وهي : (طريقة البحث الخطي) ودراسة تاثيرالتكرار عند الجرعة صفر فقط لمعرفة مدى الابتعاد عن | This study deals with the problem of estimation the relative potency of thymus oil and linum oil , for parabolic model by using the : line search method , and we study the effect of replication at zero dose and near zero dose on the type of relationship whether is linear or not , we partition the thesis into five chapters , the first included the introduction and the aim of this research work and historical review, the second chapter included the theoretical part where we stated the relative potency estimation method for nonlinear model, the third chapter went through the experiential part of this research work, the four chapter went through the practical part of this research work, finally chapter five went through the conclusions and recommendations of this research work, we conclude that the potency of thymus oil is (0.115) times the linum oil according to the parabolic model

تحليل وقياس اتجاهات الفقر في العراق للمدة 1980 - 2005

Author name: ندوة هلال جودة
Supervisor name: نبيل جعفر عبد الرضا المرسومي
Specific topic: Statistics
Degree: Doctorate
Language: Arabic
University location: Baghdad
First pages:

مقارنة طرائق المويجة المتقلصة لتقدير انموذج الانحدار اللامعلمي في حالة عدم تجانس التباين

Author name: نبيلة عبد الهادي فائز الشريف
Supervisor name: ظافر حسين رشيد النجار
Specific topic: Statistics
Degree: Doctorate
Language: Arabic
University location: Baghdad
First pages:
Abstract: ان اساليب الانحدار اللامعلمي توفر طريقة كفوءة في ايجاد شكل في مجاميع البيانات بدون فرض انموذج انحدار معلمي حيث اننا نلجا للانحدار اللامعلمي عندما لا نملك انموذج معلمي محقق منه بصورة جيدة للموضوع قيد الدراسة او عندما نملك انموذج معلمي محقق منه بصورة جيدة

مقارنة مقدر المنوال الحصين مع بعض المقدرات الاخرى ولمعلمة الموقع == Comparing The Robust Estimator of The Mode With Some Other Estimators For Location Parameter

Author name: نازك جعفر صادق
Supervisor name: عماد حازم عبودي
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Baghdad
First pages:
Abstract: The robust estimators are these estimators which resist all cases of data contamination by outlier values which are suitable to a wide sector of distribution. The present values deals with searching for the best estimator for location because this topic is important for the high frequency cases of contamination. Hence it is important to use robust ways in choosing the best robust estimator which being affected by outlier values. The aim of this study is to choose the estimator which is most immune to asymmetric distributions and to any rate of contamination. It also aims at studying the function of such an estimator through simulation experiments which take many cases into consideration.The study falls into four chapters. The first chapter is an introductory one which includes the introduction, the aim and a historical servey for certain general concepts which have close relation to the topic understudy. The second chapter deals with the median and robust estimation which include median estimator and other location estimators and the criterion used in the present study. As for the third chapter, it includes the experimental side of the study. Finally, the fourth chapter, it deals with the conclusions and recommendations which the study comes up with.Some of the important which researcher has come up with are that has been able to find a most robust estimator after comparing it with a group of estimators. This estimator is the Robust Parameter Estimator (RPM). It can be considered much better than many available robust estimators.

الاسقاطات السكانية لمحافظـــة البصـــرة للفتـــرة (1997 - 2022) باستخدام نتائج التعداد العام لسنة 1997 في العراق == The Populational Projections of Basrah Governorate For The Period 1997 - 2022

Author name: نادية علي عايد الحميداوي
Supervisor name: بشرى علي يعقوب الجعفري | زهرة حسن عباس التميمي
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Baghdad
First pages:
Abstract: ان الاسقاطات السكانية من الطرائق الاساسية التي تستند عليها اغلب الدراسات والبحوث في مجالات متعدده، اذ ان معرفة اعداد السكان والتغيرات الحاصلة له بصورة مستمرة تعد الركيزة الاساسية التي تعتمد عليها خطط التنمية ولان التعدادات السكانية تجري كل خمس او عشر سن | Populational projections are considered to be the basic methods , which most studies and researches depend upon. By these methods it could be knowing the demographical , social , and economic features of the society , which these are considered to be the bases of most development plans. As the population census is carried out in every five or ten years , so the importance of following the populational projections has been apperied as a good way to be used.The aim of this study is to show the populational projections of Basrah governorate for the peried 1997 - 2022. According to the census of the year 1997 and by using the component method, which requires projections and estimations for the fertility , mortality and migration separatily therefore , we study the level and the direction of fertility for the period before year 1997 , taking into consideration the impacts of the current and future circumstances in the governorate. Besides , we analyse the death data to get the suitable level for these projections. After satisfying all the requirement of population projections , and using components method , the results are got and population of Basrah governorate from the year 1997 to 2022 is evaluated

مقارنة بعض الطرق الحصينة للمربعات الصغرى الجزئية == Compare Some of Robust Methods For Partial Least Squares

Author name: ميسون علي رحمن المندلاوي
Supervisor name: هلال عبود البياتي
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Baghdad
First pages:
Abstract: الحمد لله والصلاة والسلام على رسول الله سيدنا محمد (صلى الله عليه وسلم )وعلى اله وصحبه وسلم اما بعد...يتناول البحث استخدام انحدار المربعات الصغرى الجزئية PLS)) Partial Least Squares وهي تقنية انحدار خطي طورت للتعامل مع انحدارات ذات ابعاد عالية لمتغير وا | Partial least squares regression ( PLRS) is a linear regression technique developed to deal with high - dimensional regression and one or several response variables. In this paper we introduce robustified version of the SIMPLS algorithm being the leading PLRS algorithm because of its speed and efficiency. Because SIMPLS is based on the empirical cross - covariance matrix between the response variables and the regressors and on linear least squares regression, the results are affected by abnormal observations in the data set. Two robust methods covariance matrix for high - dimensional data and robust linear regression. We introduce robust RMSECV and RMSEP values for model calibration and model validation diagnostic plots are constructed to visualize and classify the outliers. Several simulation results and the analysis of real data sets show the effectiveness and the robustness of the approaches. Because RSIMPLS is roughly twice as fast as RSIMCD, it stands out as the overall best method.

بناء انموذج للمعاينة البيزية المفردة بافتراض مربع كاي كتوزيع مسبق == Constructing A Model For Bayesian Single Sampling Plan Assumed Chi - Squaar As A Prior Distribution

Author name: ميسون حميد فرج محمد
Supervisor name: محمد صادق عبد الرزاق الدوري
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Baghdad
First pages:
Abstract: يتضمن هذا البحث بناء انموذج لخطط المعاينة البيزية باستخدام نظرية القرار، هدف الانموذج التوصل الى معالم خطة بيز المفردة (n,c) حيث n تمثل حجم العينة، c تمثل عدد القبول الضروريان لفحص المنتوج واتخاذ قرار لرفض او قبول الدفعة. قمنا باشتقاق ومناقشة خصائص نظام خ | This research deals with the process of Constructing a model for Bayesian Single Sampling Plan by using decision making theory. The aim of this Model is to obtain the parameters (n,c) which represent Sample size (n) and acceptance number c, which are necessary to inspect the lot and to make a decision whether to accept or reject the product. We drive and discussed the properties of the system of single sampling attributes plan obtained from minimizing the average Expected cost under the assumption that cost decision is a linear function in lot size and sample size. The distribution of the sampling is a mixed Poisson distribution i.e, each lot produced is in Poisson Control but the process average varies from lot of anther according to frequency distribution which is assumed to be derived in the neighbor points of the break - even quality level. We explain all the notation and steps of obtained the total Expected cost of quality Control, which contain the item of cost (Cl,C2...C6) upon the decision of acceptance or rejection, and then how to solved mathematically using forward Variances function to reach the Optimal Parameters (n*,c*). Then the Optimal size of the Sample size is identified is linear function from square root of the lot size. Some auxiliary tables are given, Which represent the results we obtained which indicate that the prior distribution of quality is Chi - Square with m degree of freedom, we apply NP - Chart to make decision about process, we apply also the test of goodness of fit for testing the hypothesis.

بعض طرائق تقدير معلمات دالة المعولية لنموذج احتمالي مركب مع تطبيق عملي == Some Methods of Estimation Parameter Reliability Function of The Probability Model Compound With Practical Application

Author name: مهدي علي عبد الحسين الدريعي
Supervisor name: تهاني مهدي عباس الياسري
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Baghdad
First pages:
Abstract: تعد التوزيعات الاحتمالية المركبة من التوزيعات الاحصائية التي كسبت اهمية متميزة في العقود الاخيرة وذلك لتطبيقاتها الواسعة في المجالات الهندسية والصناعية والتجارب الطبية والبايلوجية وبناء على ذلك فقد تم استعمال انموذج احتمالي مركب (الاسي - ويبل) ذي الثلاث | The probability distributions compound is important statistical distributions which gained importance and wide in recent decades, to the importance of their use in scientific fields, and at the Advanced has been addressed in this letter to the probabilistic compound model (exponential - Weibull) with three parameters and characteristics enjoyed by such possibility Writing probability density function and cumulative function and reliability function was used four different methods of estimating 1 - Maximum Likelihood Estimators Method2 - Percentiles Estimators Method3 - Least squares method4 - Weighted least squares methodAnd a favorable comparison between these estimators using simulation style through several experiences of one of the main users of statistical standards which is the mean squer error It was reached that the best way to estimate the reliability function is the Maximum Likelihood Estimators Method for having the lowest mean squer error.Or in the practical side it has conducted a practical application to real data taken from the State Company for Textile Industries in Wasit, which is for times of failure for machines textile department and assess the sample sized 101 machines communtiy 450 machines function of reliability with the use destined reached by a researcher at the experimental side, a Maximum Likelihood Estimators Method, and through the results turned out to estimate reliability function decreases gradually increase the time.

نموذج للتخطيط القوى العاملة : دراسة ميدانية في كليتي الطب والادارة والاقتصاد - جامعة البصرة == A Model For Manpower Planning A Survey In Medical & Admin. & Econ. Colleges University of Basrah

Author name: منى طاهر غافل الربيعي
Supervisor name: محمد عبود طاهر
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Baghdad
First pages:
Abstract: It is difficult to recruit the manpower of lecturers to provide the University of Basrah with them. University of Basrah suffers from the problem of putting a planning system for manpower which taking into consideration the following three systems (supply of the lecturers, demand of the lecturers, controlling of these two systems). In order to achieve that aim, the researcher performed this study "A Model for Manpower Planning" which depended upon a model to predict the size of manpower supply and demand for Lecturers in the Medical and Administration & Economics Colleges. These employees were separated into groups such as, the length of career period, or ages groups, to show the deficit or the surplus and the equilibrium between supply and demand. To carry out that model, it was used "Visual Basic 6" programme.(CD can be demanded from the researcher) This study could be considered an initial study in manpower planning among the structural systems of the manpower. It is a continual for the previous studies besides the following additions : 1. Find the expected supply of the manpower with expected demand for every rank of the hierarchy with freedom of choosing the number of the ranks to be no more than two or four.2. Calculate supply and demand of the manpower separated into groups such as the length of career period or ages groups. 3. Putting an equilibrium between supply and demand and putting conditions for promotion, recruitment and wastage.4. Representing the model in the computer by using (Visual Basic 6) language to construct easy model to be used to find the expected demand and supply for ever rank and showing the deficit or the surplus and the quantity of promotion, recruitment and wastage for every rank.

مقارنة طريقة Taguchi مع طريقة سطح الاستجابة للتجربة العاملية الجزئية باستخدام المحاكاة == Comparing Taguchi Method With Response Surface Method For The Fractional Factorial Experiment By Using of Simulation

Author name: منال جبريل محمود تيم
Supervisor name: كمال علوان خلف المشهداني | عبيد محمود محسن الزوبعي
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Baghdad
First pages:
Abstract: تتلخص هذه الرسالة باعطاء فكرة مبسطه عن التجربة العامليه 2 n من حيث المعالجات والتاثيرات والنماذج والتصاميم الرياضية، ومن ثم دراسة تكوين التكرار الجزئي للتجربة 2n عندما يكون عدد العوامل مساويا الى ثلاثة عوامل وكل عامل بمستويين متضمنة توضيح طرق التحليل الا | The thesis provides simple idea for the 2n fractional experiment, it, treatments ,impacts, and mathematical models and methods, and studying the establishing of fractional frequency for 2n experiment when the number of factors are three with two levels each. and explaining the statistical analysis methods which are convenient for the two levels case for each factor in fractional factorial experiment ,and the same for 3n fractional factorial experiment when the number of factors are three with three levels each, then studying the robust design through Taguchi criterion design approach and Taguchi experiment method, and studying response surface, its, design of first and second grade, and applied it in selecting the levels and it’s values. The research depend mainly on using simulation method for Comparing Taguchi method with response surface design (first and second grade) by using (MSE)as measurement tool. The simulation experiments results approve that response surface always gives better results for (MSE) THAN Taguchi method.

مقارنة المقدرات اللا معلمية لتقدير دوال الكثافة الاحتمالية == Comparing Nonparametric Estimators For Probability Density Estimation

Author name: مناف يوسف حمود
Supervisor name: ظافر حسين رشيد النجار
Specific topic: Statistics
Degree: Doctorate
Language: Arabic
University location: Baghdad
First pages:
Abstract: ان المسالة المهمة والرئيسة في التطبيقات الاحصائية تتمثل بمعرفة التوزيع الخاص بالمجتمع المطلوب دراسته ومعرفة خصائص ذلك المجتمع كي يتم تمثيل المجتمع تمثيلا سليما من خلال استعمال الاساليب الاحصائية الشائعة.في بعض مسائل الاستدلال الاحصائي المدروسة يتم افتراض | In some problems of statistical inference considered, we assumed that the distribution of random variable being sampled is known except, perhaps for some parameters.In practice, however, the functional form of the distribution is seldom, if ever, known. It is therefore desirable to devise some procedures that are free of or depending on few information or assumption concerning distribution.In this dissertation we demonstrate and study some procedures that are commonly referred to as nonparametric or distribution - free and also semiparametric methods.The term “Distribution - free” refers to to the fact that no assumption are made about the underlying distribution except that the distribution function is absolutely continuous.The term “Nonparametric” refers to the fact that there are no parameters involved in the traditional sense of term parameter used thus far.The term “Semiparametric” refers to combine the parametric term with nonparametric term, which there is few information or assumption about the distribution function.In chapter one we demonstrate an introduction to the problem, the main of the study and the historical review.In chapter two we demonstrate several nonparametric and semiparametric estimators for probability density function and these estimators are “fixed kernel which use fixed bandwidth or smoothing parameter, variable kernel which use variable bandwidth for each observation, semiparametric estimator which combine between two estimators {parametric by using of MLE and nonparametric estimator by using of fixed kernel}”.Beside these estimators we suggest four estimators like semiparametric estimator but the first suggestion combine MLE & variable kernel, the second suggestion combine two nonparametric estimators, the third suggestion combine robust estimator (for the mean & variance) with fixed kernel estimator, Finally we suggest estimator that combine robust estimator with variable kernel.Beside to above we demonstrate several estimators for smoothing parameter or bandwidth one of these estimators suggested from the author.Then we make a comparison between the parametric, nonparametric and semiparametric estimators with respect to bandwidth estimators by using simulation experiments, depending on different distributions (Normal, Lognormal and bimodal), different sample sizes and variances.We find that the best estimator for the density function is the first semiparametric estimator when we are using the 1st & 2nd distributions (Normal & Lognormal) except in few cases where we find the 1st suggested estimator is the best. And when we are using the 3rd distribution (Bimodal) we find that, the 2nd suggested estimator (Nonparametric estimator) are the best except in few cases where the other suggested estimators beside to 1st semiparametric estimator are the best.Also we find that the (BCV) estimator is the best estimator for the smoothing parameter when we are using the 1st distribution (Normal), except in few cases where the OS estimator is the best for h.For the 2nd distribution (Lognormal) we find the (LSCV) estimator is the best estimator for the smoothing parameter.Finally, For the 3rd distribution (Bimodal), We find that the (BCV) estimator is the best estimator for h except when the sample size equal to 100 (n=100), where the (DPI) estimator is the best.

طرائق لتقدير معالم نماذج عمليات ليفي وتوظيفها في اسعار عوائد اسهم مصرفي الشمال والمتحد == Methods of Estimating Model Parameters Le'Vy Processes And Emoloyment In Returns Stock Prices North Bank And United

Author name: مريم جمعة موسى
Supervisor name: مناف يوسف حمود
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Baghdad
First pages:
Abstract: تعد سوق الاوراق المالية الهدف المنشود للمستثمرين الذين يرغبون في التخصيص الكفء للموارد المالية المتاحة لديهم الامر الذي يتطلب توفر قدر من البيانات والمعلومات المالية الصحيحة المتعلقة بالشركات التي تتداول ادواتها في السوق حتى يتمكن هؤلاء من ترشيد قراراتهم | The stock Exchange is the target for investors who are interested in the efficient allocation of financial resources available to them , which would require a lot of data on companies that are trading their tools on the market so they can rationalize their decisions and make profits unusal in light of market efficient proper financial in formation.However because there are fluctuations in returns stock prices resulting from low and high stock returns prices at the Iraq stock Exchange solve this problem by using stochastic processes models,One of the models le'vy. Relying on the so - called Brownian subordinate as it has been relying on the so - called Normal Inverse Gaussian (NIG).the research aims as the estimate that the parameters of his model using two methods (MME,MLE) and then employ those estimate of the parameters in the study of stock returns and evaluate asset pricing for both the united Bank and Bank of North which their data were taken from the Iraq stock Exchange. As well as the use of simulation method for the purpose of simulating the practical side with a different presumed cases.Has been reached the practical side, which showed the results to a preference MLE on MME based on the standard of comparison the average square error (MSE).As for the side of the simulation it has shown favorable results also MLE on MME. As well as the simulation results indicated that the increase in the value of kurtosis and decreasing the value of skewnsses in NIG model it may cause a decrease in large volatility especially when increasing valumes of samples while side applied found that the yield rate of the stock of the Bank United is higher than the rate of returns for the North Bank as well asthe United owning less coefficient c.v compared with the North Bank and both estimater (MME,MLE).therefore the United Bank is the best investment of the Northa Bank in addition , the North Bank was less efficient than the United Bank for, leading this speech to preference of investors to invest with united Bank and its superiority on the North Bank.

مقارنة بعض خوارزميات التحليل العنقودي في تنقيب البيانات (Data Mining) مع واقع تطبيقي == A Comparing To Some of The Algorithms Cluster Analysis In Data Mining With Application

Author name: محي الدين خلف ايوب
Supervisor name: قتيبة نبيل نايف القزاز
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Baghdad
First pages:
Abstract: ان التقدم العلمي المتسارع والانتشار الواسع للمعلوماتية ادى الى الاستعمال الالكتروني لمختلف المعلومات والتي اصبحت تتراكم بشكل هائل في قواعد بيانات كبيرة, وهنا تكمن اهمية البحث في محاولة تنضيج وتبويب هذا الكم الهائل من البيانات في قواعد معلومات تؤدي الغرض ا | Scientific progress is rapid and widespread Informatics web mail to various information which became accumulate dramatically, leading to try to find how tend to tab and this huge amount of data bases for information leading to the desired purpose. Work the term data mining (DM) is appropriate in this area and because of this importance of this research was to try to use data mining algorithms with the search in the accompanying circumstances. And a summary of research supports access to information and knowledge discovery through the use of techniques for data mining (DM) and also touched on the stages of exploration process of data passing through the stage of data processing and even the testing phase (F_test) to measure the case of variation or variation in the data when you reach a level of fitness (Optional). The results of the tests can be observed when changing the sample size (n) as well as the size of clusters (k) , and this leads to variation in the laboratory value (F) and in each case and her envelope. Cluster analysis of the data has spawned tests , The algorithm (K - Means) is the best , Comparing with (Single Linkage) and (Complete Linkage) algorithms A position to achieve the research hypotheses under the values shown in the tables , through calculable scale test (F_test) as well as the scale (MSE) , according to the results of experiments testing of samples sizes (n) and the size of the clusters (k) applied to the variables (v) Search.

مقارنة بين مقدرات التقلص البيزية ومقدرات التقلص لتباين التوزيع الطبيعي باستخدام المحاكاة == Comparison Between Bayesian Shrinkage Estimators And Shrinkage Estimators For The Variance of Normal Distribution By Using Simulation

Author name: محمد حسين عبد الحميد جواد البيرماني
Supervisor name: اموري هادي كاظم الحسناوي
Specific topic: Statistics
Degree: Doctorate
Language: Arabic
University location: Baghdad
First pages:
Abstract: في هذه الدراسة تم تقديم مقترح لتقدير التباين للتوزيع الطبيعي وذلك من خلال استخدام التقدير البيزي للتباين والمعتمد على دالة التوزيع الاولي للمعلمة الممثلة للتباين في موقع التقدير الاولي ضمن صيغة التقدير المقلص بمرحلتين والتي تم تسميتها مقارنة بين مقدرات ال | In this study we introduce new suggest to estimate the variance of normal distribution, from by using Bayesian estimation for the variance that is dependent on prior distribution to parameter of the variance in first estimate location, include double stage shrunken estimate formally, that it called by comparison between Bayesian shrinkage estimators and shrinkage estimators for the variance of normal distribution by using simulation on topic study.The estimations are depended on two factors of shrunken, the first is random value and the second is function for the first sample size.In the simulation, we study double stage shrunken Bayesian estimators for the variance of normal distribution when the distribution mean is known.

تحليل الموجة الصغيرة Wavelet لتقدير منحنى الانحدار اللا معلمي == Wavelet Analysis For Estimating Nonparametric Regression Curve

Author name: محمد حبيب كاظم الشاروط
Supervisor name: ظافر حسين رشيد النجار | نوري فرحان المياحي
Specific topic: Statistics
Degree: Doctorate
Language: Arabic
University location: Baghdad
First pages:
Abstract: لقد توسعت امكانيات طرائق تقدير الدوال اللامعلمية توسعا هائلا في السنوات الاخيرة من خلال المساحة الواسعة من الادوات الحديثة في التحليل الاحصائي، وقد لوحظ تقدم كبير وملموس في مجال البحوث النظرية والتطبيقية للموجة الصغيرة في الاحصاء مثل بحوث الموجة الصغير

التقدير المتسق لمعلمة ميل انموذج الانحدار الخطي البسيط المتاثر بخطا القياس للمتغير التوضيحي مع تطبيق في المجال الصحي

Author name: ماهر محسن سلمان
Supervisor name: دجلة ابراهيم مهدي العزاوي
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Baghdad
First pages:
Abstract: تعد طريقة المربعات الصغرى الاعتيادية (OLS) من افضل طرائق تقدير معلمات انموذج الانحدار الخطي وان هذه الطريقة تتصف مقدراتها بصفتي عدم التحيز والاتساق وهذه من صفات المقدر الجيد , الا ان مقدر طريقة المربعات الصغرى يصبح متحيز وغير متسق اذا كان المتغير ال | Ordinary Lease Square (OLS) is the way of the best methods of Parameter estimating of Linear Regression Model , that’s where this method is characterized by unbiased and consistency , and these qualities of good estimator , but (OLS) estimator becomes biased and inconsistent if Explanatory variable contains measurement errors , and the study has been of two consistent estimators, were taking into consideration the presence of measurement errors and they are : reliability ratio method and this way corrects the biasing in (OLS) estimator and makes the estimator consistent , and the other way is : instrumental variable method ; and this way gives consistent estimator and contributes to support the explanatory variable through the addition of an external variable T ,and the instrumental variable must be correlate in a strong relationship with explanatory variable ,also has been showed the additional information's necessary to the alternative estimator to the (OLS). above methods have been applied by using of simulation style of the software MatLab as measurement of errors takes three distributions and they are : normal distribution , standard normal distribution and Uniform distribution by using three sizes of samples (100 , 50 , 20 ) the result showed that reliability ratio estimator method is the best estimator ; regardless of the size of the sample and the distribution of the errors measurement , and this finding corresponds to the findings of researchers , and on this basis has been applied Reliability ratio estimator method on the medical data obtained from patients have fallen asleep in the department of artificial kidney in (Yarmouk) hospital in Baghdad. that's where the level of Urea in the blood is dependent variable , two readings of blood pressure were taking for each patient ,which represent the average is instrumental variable , the purpose of taking blood pressure for each patient in order to estimate the variance of measurement errors ,also has been taken third blood pressure reading by using dialysis machine to represent instrumental variable , has been reached that the ratio of reliability for blood pressure measuring ranging between ( 0.80 - 0.85 (

دراسة مقارنة لطرق التقدير الحصينة لدالة البقاء مع تطبيق عملي على مرضى سرطان الدم في اليمن == A Comparative Study of The Robust Estimation Methods of Survival Function With Practical Application On Blood Cancer Patients In Yemen

Author name: ماجد هبة الله علي شريم
Supervisor name: هلال عبود البياتي
Specific topic: Statistics
Degree: Doctorate
Language: Arabic
University location: Baghdad
First pages:
Abstract: ان معظم البحوث في موضوع المعولية اودالة البقاء يوجد عليها بعض الماخذ في عملية التحليل الاحصائي الدقيق الذي يهدف الى الحصول على مقدرات ذات مستوى عالي من الكفاءة. وتبرز اهمية الحاجة الى طرائق التقدير الكفوءة هذه التي تسمى بالطرائق الحصينة (Robust Methods) | Most of researches in the subject of reliability contain clear decrease in the processes of accurate statistical analysis which aims at getting estimators of a high level of efficiency and the important of the necessity to many efficient estimation methods, which are called 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).A matter which leads to unconfirmed statistical inference.From this point was the goal behind this research in reaching robust estimators of the survival function through studying some robust and classical methods and bayes methods in contaminated weibull distribution , and that is by assuming three levels of contamination. namely,(? = 0 , 0.15 ,0.30 ).Also , a robust method proposed to estimate the survival function for contaminated weibull distribution.In this study , the method of simulation was used to compare between the studied estimation methods of all levels of contamination.In this thesis , the researcher concluded the success of the proposed method in estimating the survival function in comparison with other methods depending on the measures : (IMSE) and (IMAPE) so, the researcher specified a chapter for applying and using the proposed method on real data to estimate the survival function s(t).

استعمال اساليب التنبؤ الاحصائية في تحليل قيم الصادرات النفطية == Using Statistical Forecasting Methods In Analyzing Oil Exports Values

Author name: لينا نضال شوكت
Supervisor name: قتيبة نبيل نايف القزاز
Specific topic: Statistics
Degree: Higher Diploma
Language: Arabic
University location: Baghdad
First pages:
Abstract: درست الباحثة موضوع اقيام الصادرات النفطية العراقية السنوية وللمدة من 1978م ولغاية 2014م بالاعتماد على ثلاث طرائق تحليل احصائية. الاولى، تحليل انموذج الانحدار الخطي المتعدد والتي تتطلب تحديد متغيرات توضيحية مؤثرة في قيم الصادرات النفطية وكانت هذه المتغيرا | The researcher studied the Iraqi Oil Exports Value form 1978 until 2014 using three statistical analysis methods. The first, Analysis of Multiple Linear Regression which requires determining independent variables that affect the Oil Exports Value and these variables were (barrel price and the average daily number of exported barrels). The second, Analysis of Polynomial Models (Growth Curve Model) and this model requires determining the suitable polynomial degree to represent the model as a curve which shows the increase or decrease that occurs in the data under study. And the third method is, Analysis of Time Series using Box - Jenkins models which requires identification of the suitable model and the degree of the model to represent the data. The three models, their equations and the mathematical relationships have been all defined, especially the ones that have been applied on the data.After analyzing the data using gretl and Matlab softwares and treating some problems that may occur to the data and getting the suitable models to represent the Oil Exports Value, in the Multiple Regression Model the confidence intervals of the estimated parameters have been calculated and testing the efficiency of the model and the estimated parameters using F and t tests. And in the Polynomial model, the curve has been estimated and drawn and calculating the confidence intervals of the parameters and the fitted curve and forecasting for 6 coming years and calculating the confidence intervals of the forecasting. In the Time Series model, the stationarity in the mean and variance of the series has been tested then identifying the suitable order for the model which was (2,1,3) and testing the independence of the error then forecasting for 6 coming years and calculating the confidence intervals of the forecasting

التحليل الجيبي المتقطع والمويجي المتقطع واستخدامهما في عمليات الاخفاء للصوت والصورة == Discrete Cosine Transform & Discrete Wavelet Transform In The Hiding Process For The Speech And The Image

Author name: ليلى مطر ناصر المحنة
Supervisor name: خميس عواد زيدان
Specific topic: Statistics
Degree: Doctorate
Language: Arabic
University location: Baghdad
First pages:
Abstract: للاهمية المتزايدة للتحويلات الرياضية ومدى مساهمتها في حل العديد من المشاكل العلمية، وكذلك موضوع الاخفاء steganography، الذي اخذ مفهومة يتطور واستخدامه يتزايد يوما بعد يوم لما له من اهمية كبيرة في توفير الحصانة والسرية للبيانات الرقمية لاي وسط كانت وكذلك | Because of the increasing of importance of the Mathematical transformation and its solutions for the scientific problems, and also. The steganography which it is develop ,more and more, with its expanding in performing security and Robustness for the digital data for any media and for decreasing the capacity of the Storage and increasing the speed in transmitting and receiving, we use in this thesis the discrete cosine transform and the discrete wavelet transform as a comparative study through the hiding methods, which its applied in the time domain and frequency domain, and applied the statistical term MSE which is always used for comparative, and added another term MAPE as a support term and then calculate the PSNR to measure the quality for the images and sounds after reconstruction depending on the two terms, the colored image are applied because of its high specifications for its large area in the storage through hiding processes, which its depend on the (LSB) method of hiding. And in this thesis it is proposed a methods for designing new coefficients depending on the filters Haar and DB - 4, and the design depended on a mathematical and logical methods, and as an application for the comparative and proposed methods it depended on a sample of (24) persons which we took their images and speeches to apply the Process by hiding the speech through the image for every person, and then applied the transformations depending on the proposed Algorithms, the program is designed by the researcher using Matlab language, and then the comparative applied between the used methods which showed high quality in reconstruction and performed a proposed methods in the security depending on the mathematical transform and not only on the methods of cyphering for data through hiding and this methods for cyphering the mathematical transform give a high robustness for hiding data.

مقارنة بعض طرائق تقدير دالة المعولية الضبابية == Compared To Some of The Methods of Estimating Fuzzy Reliability Function

Author name: ليث فاضل سيد حسين النعيمي
Supervisor name: انتصار عريبي فدعم الدوري
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Baghdad
First pages:
Abstract: عند احتساب اوقات الفشل للمكائن والمعدات نلاحظ بانها تكون غير مؤكدة او ضبابية في اغلب الاحيان وعلى اساس المركبة او النظام لهذا تناولت هذه الرسالة تقدير دالة المعولية الضبابية في حالة المركبة والانظمة المفردة (المتسلسلة والمتوازية) وباستعمال ثلاث طرائق هي : | When calculating the failure times of the machines and equipment note that it is fuzzy or uncertain in more often on the basis of the component or system to this paper this estimate fuzzy reliability function in the component case and series and parallel system by using three methods are : First, the conventional method : Under this method has been used the failure function and a new membership function of beta type be more flexible in statistical applications, according to this method was derived estimators fuzzy reliability function for series and parallel systems. Second, The number fuzzy method (A ) ?(i - v) level (1 - ?, 1 - ?) based on the confidence limits : one of the methods in which based on in estimation on the mean and standard deviation of the times of the failure of the machinery and equipment and give fuzzy reliability function estimate both serial and parallel systems confidence limits are to be used to fuzzy numbers two levels (1 - ?, 1 - ?).Third, the Signed distance method : good methods that give estimating fuzzy reliability function for both systems are similar to estimate the point.That the methods above give estimate reliability Blur function for both systems was a comparison between the advantage of these capabilities and employ the style of simulation manner Monte Carlo (Monte - Carlo) by writing software language application (Matlab) and the experiences and sizes of different samples and both systems were relying on mean square error (MSE) of the comparison between the estimation methods Vtm reach a predestined way normal preference, showing through the mean square error (MSE) that showed a nuance in between estimator ways : how many The number fuzzy method (A ) ?(i - v) level (1 - ?, 1 - ?) and the way the Signed distance method of the fact that the way The number fuzzy method (A ) ?(i - v) level (1 - ?, 1 - ?) based at its sole discretion to Tabulated values of the distribution (t) and that way the distance indicator based on the indicators way above, for this from the perspective of the researcher, all estimation methods are considered good and can be used in the approved equipment and machinery in their production productive companies.In the practical side researcher has used real data for the purpose of estimating reliability function of the system and fuzzy sequential function reliability of the system parallel Blur, adopted by the General Company for Electrical Industries of the Ministry of Industry and Minerals in Baghdad records.

الدمج بين الطرائق الاعتيادية والغلاف الطيفي بالتحويلات للاستقرارية باعتماد القطع والنافذة المثلى

Author name: لميعة باقر جواد الجواد
Supervisor name: عبد المجيد حمزة الناصر
Specific topic: Statistics
Degree: Doctorate
Language: Arabic
University location: Baghdad
First pages:
Abstract: يعد استخدام الغلاف الطيفي لتحويل السلاسل غير المستقرة الى سلاسل مستقرة من الطرائق الحديثة اذ اقترحها الباحث Stoffer واخرون خلال العقد الاخير من القرن الماضي. والطريقة المستخدمة سابقا تعتمد التحويل الذي يعطي اقل البواقي. ولتلافي السلبيات التي تكتنف الطري | The use of the Spectral Envelope to transform non - stationary series to stationary series is considered as recent method. It is suggested by Stoffer ~ at el. through the last ten years of the past century. The method previously used depends on the transformation, which gives minimum residual. And to overcome the disadvantages that surround these two methods we saw that the best is to combine between them. Since the spectral density function of the transformed series needs to be smoothed, so we began to study the best smoothing window and to know the optimum truncation point by using two criteria, absolute and relative, for compression between the two the windows and the truncation points

مقارنة بعض طرائق تقدير معلمات الانموذج المختلط من الرتبة الاولى باستخدام المحاكاة == Comparison Some Parameters Estimation Methods For Mixed Model of Low Order Using Simulation

Author name: لمياء محمد علي البدراني
Supervisor name: لميعة باقر جواد الجواد
Specific topic: Statistics
Degree: Doctorate
Language: Arabic
University location: Baghdad
First pages:
Abstract: يهدف البحث الى دراسة طرائق تقدير معلمات الانموذج المختلط (الانحدار الذاتي - الوسط المتحرك) (Stationary Autoregressive - Moving Average Model) المستقر من الرتبة الاولى ARMA(1,1) مع دراسة الحالات الخاصة له، وهي : ARMA(1,0), ARMA(0,1) دراسة نظرية وتجريبية با | This thesis aims to studying the parameters estimation methods of the stationary mixed model (autoregressive - moving average) of low order ARMA(1,1) with the special cases of it which are : ARMA(1,0) and ARMA(0,1) in regard to time domain analysis in univariate time series.Using Exact maximum likelihood estimation methods (EML) and the approximating methods : backforecasting (BF) and Conditional least square (CLS) beside Moment method (M.M) with suggested conditional method (SC) and alternative method for moment method of ARMA(0,1) model. Driven some estimators for some special model.A comparison is done among the different methods by using criteria : mean square error (MSE) , mean absolute percentage error (MAPE) and average absolute error (AAE) and using several simulation experiments ,and iterating each experiments(1000) times, The results it found that the (EML) is better and more efficient than others. From the more notice conclusions that the relation between the sign and moment estimator for ARMA(1,1) model that is : when the sign is positive means the root gives invertable model and when the sign is negative means the root gives invertable model. The thesis consisted of four chapters, The first chapter contained introduction and literature review. The second chapter discussed the deferent estimation methods, The third chapter contained the experimental part using simulation for different sample sizes of series. It had been arrived at some conclusions and recommendations were consisting the fourth chapter

تحليل التباين المركب لمجموعة تجارب متشابهة في القطاع الزراعي == Combind Analysis of Variance For Similar Experiments Group In The Agricultural Sector

Author name: كاظم يحيى عبد الحسين
Supervisor name: كمال علوان خلف المشهداني
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Baghdad
First pages:
Abstract: the interaction (treatments X locations , treatments X years , 1. In the statistical sight, the aim is to test the significance of of this method of analysis is : in more than one location and in more than one year too. The aimreplicated in more than one location or period (year) or replicated sector. It means making analysis of variance for experiments that important in different sides of the life, specially in the agricultural The combined analysis of variance method is regarded as a verytreatments X locations X years ). plot experiment that conducted by (CRD , LSD) expanding by the researcher the case of (CRD , LSD) and Split - (RCBD , and Split - plot by RCBD), The study also include The combined analysis of variance was studied for the designsmost suitable environment conditions. true decision that represented by planting the type in the (included locations and agricultural seasons) , then making a many types of a pointed plant for environment conditions2. In agricultural sight , the aim is to test the suitability of experiment increase. that appeared as the value of decrease, the accuracy of the ,one for LSD and the other for Split - plot using LSD. The results using simulation manner and writing two programs for this aimconducted by LSD and by Split - plot using LSD , that led to Because of there is no available data for actually experiments appeared the significant effects.means of the factors and for the means of the interactions that them, the multiple comparisons were done (using Lsd) for the for the significance of the factors and for the interactions between A different results were appeared from experiment to anotherwas done by using Genstat program. homogeneity of variances using statgraph program, the analysis conducted by RCBD, and then after making Bartlett test for conducted by RCBD and another experiments by Split - plot In applications we have got the data of actually experiments

توظيف نهج سطوح الاستجابات المتعددة المرتبطة في تصميم المعلمة الحصين مع تطبيقات عملية

Author name: فرح عصام حسن
Supervisor name: ابتسام مصطفى كمال
Specific topic: Statistics
Degree: Doctorate
Language: Arabic
University location: Baghdad
First pages:
Abstract: هذه الاطروحة كانت محاولة لايجاد اساليب كفوءة يتم فيها معالجة حالة الاستجابات المتعددة المرتبطة في تصميم المعلمة الحصين، بتعميم نهج سطوح الاستجابة وتوظيفه في خمسة اساليب مقترحة اخرى، في كل منها تم الاعتماد على دالة هدف مختلفة تعالج حالة معينة، والدوال المو | The purpose of this study was to find efficient techniques that extend the application of response surface methodology to the multiple robust parameter design, for cases in which multiple responses are correlated. The study recommends the use of five techniques, in each one a different function was employed. These functions are : 1. Squared loss function2. Principal component function3. Canonical correlation function4. Multiple correlation function5. Partial correlation function In the five suggested techniques the model of Quesada & Casteillo which is a generalization of Vining and Myres model for the one response case, was considered. The model was assumed to follow the assumptions of the seemingly unrelated regression equations system. And Zenller’s two stage technique was employed to estimate its parameters. The five suggested techniques were employed in five different experiments for different fields. Then the results were compared with the results of Quesada & Casteillo approach for multiple robust parameter design. The comparison was based on criteria of the average mean square error, which was the lowest at the most optimal solutions produced from the suggested techniques and for the following applications : 1. Optimization and robustness of the High - performance Liquid Chromatography. 2. Optimization and robustness of the carry and release function of a coated drug.3. Optimization and robustness of the computers network efficiency.4. Improvement and robustness of the quality of coffee treated by a new technique.5. Optimization and robustness of the function of a printing machine in adding colored inks.

مقارنة طرائق تقدير معالم انموذج ويبل للفشل بثلاثة معالم == Comparing Estimation Methods of Weibull Failure Models With Three Parameters

Author name: فراس صدام عبد الهلالي
Supervisor name: صباح هادي عبود الجاسم
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Baghdad
First pages:
Abstract: لقد كان الاهتمام الواسع والمتزايد بدراسة موضوع المعولية، يعود الى التطور التكنولوجي والتقني السريع واستخدام الانظمة الالكترونية المعقدة في مختلف المجالات.وعلى هذا الاساس فان دراسة موضوع المعولية والربط بين الجانبين النظري والتطبيقي امر له اهمية كبيرة، | The rapid and wide significance of the theoretical and practical aspects of reliability is due to the technical and technological advance in using the various intricate electronic systems. In this regard, it is important to study the theoretical and practical sides of reliability and their interrelationship since it is an indication to the proficiency and capability of the system component without deficiencies for a long time. This will lead us to evaluate the operation of the system component for improving and increasing the quantity and quality of these systems in addition to its role in the development of the engineering system.The wiebull distribution is used, as a model for failure since this distribution is proper when the failure rates somewhat high in starting operation. These rates will be decreased with increasing time. Thus, the study deals with the comparison between estimating parameter and reliability function of the three parameters Weibull Distribution as a model for failure. Different Approaches have been used to carry out the research these include : 1. Classical approachesa. Maximum likelihood method. b. Moment method.2. Baysian approachesa. Bayes method.b. Shrinkage method.Comparison was made between the methods of estimation by employing simulation using Monte - Carlo method using the statistical measures (MSE) and (MAPE) to identify the priority of these estimators for different sample sizes. The study is divided into four chapters, Chapter one deals with the theoretical Background of the topic, including the concepts of reliability. Chapter two is a review of the different estimation methods and aspect s of reliability. Chapter three is devoted the practical side of this research and results analysis. Chapter four reveals the conclusions, findings and the recommendations of the study

بعض طرائق التشخيص والتقدير في الانحدار الذاتي الخطي وغير الخطي ذي الرتب الدنيا == Some Method of Identification And Estimation For Linear And Nonlinear Autoregressive Models With Lower Order

Author name: ﻓﺭﺍﺱ ﺍﺤﻤﺩ ﻤﺤﻤﺩ ﺍﻟﻤﻬﻨﺎ
Supervisor name: عبد المجيد حمزة الناصر
Specific topic: Statistics
Degree: Doctorate
Language: Arabic
University location: Baghdad
First pages:
Abstract: Time Series Analysis face Two important Problems, take Part in the base of Statistical Work, Which are : Identification and Estimation Problems Specially in Stationary limits. Thus, the identification Process Was based in most of the researches on the Linear Models, Where had used many Methods, Some of them by graphics, and some Other by identification's Criterion's for instance : AIC and BIC Criterions and Others. On the Other hand, the estimation Process stands also on the parametric Methods only, for many years ago. But, the Complexity and improvement of the Phenomena's, and the Progress made in Computers, In both hardware and Software, and the Progress happened in the Numerical Analysis, Courage's the researchers to make their Papers and articles in advanced topics deal with Problems Which could face the identification and Estimation, either the difficulty of large sample size , or by the nonlinear Patterns which could suit some models from others. Furthermore, some Phenomena's may change its behavior at some point (Period) of time, so, it may have two different Patterns (Models) or more. Therefore, at the same time the researcher introduce the Classical identification (AIC , BIC) ,also introduce the new ones ( Table - C and FPE that depended on Kernel function. Where the researcher Make a Suggestion Kernel function in identification. Also we concern with Estimation parameter of Linear and nonlinear Model AR(P) , EXPAR(P) , SETAR(L,K,K,…,K). Here , the researcher also introduce a suggestion of Estimation method grouping the advantages of each of Parametric Estimation Like (Burg and Fisher) and nonparametric like (Spline) together. Also the researcher offers and there proposition about using MGCV Criterion for Estimation ( Spline Method) so in comparison. Also researcher introduce a Suggesting , using the initial Value for Smoothing parameter in Estimation Method (Spline). The researcher used Simulation experiments, by using ( Monte - Carlo) Method, where applied with different Sample Size and different Parameters, Where first : The identification suggesting shows an efficient Criterion especially With the model AR and SETAR , Second : for the estimation suggesting which shows an efficient criterion compared with all the models applied in the simulation experiments

نموذج القياسات المتكررة المتعدد المتغيرات ذو الاتجاه الواحد والاختبار الكروي == One - Way Multivariate Repeated Measurements Model And Sphericity Test

Author name: فاطمة هاشم فلحي نور
Supervisor name: عبد الحسين صبر المويل
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Baghdad
First pages:
Abstract: Repeated Measurement model is one of the most models widely used in field of Experimental Design especially in Agricultural Researches, Biomedical and Epidemiology that is involving in this field. This thesis is devoted to the study of One - Way Multivariate repeated measurement model. Three aspects of work are considered : The first aspect : we consider the multivariate repeated measurements analysis of variance ( MRM ANOVA ) model for complete data.The multivariate repeated measurements generalize repeated measurements in the sense that it allows a vector ofobservations at each measurement; we will consider the case of multivariate response variables. The terminology we use for the various MRM designs in this aspect is a one - way MRM ANOVA refers to the situation with only one within - units factor , which welabel as "Time" for convenience while we label as "Group" for between - units factor. For such model, the observations are transformed by an orthogonal matrix. The ANOVA which is based on the first set of transformed observations provides the ANOVA for the between - units factor effects, while ANOVA which is based on the th k set of transformed observations, for each k=2,3,…,p provides the ANOVA for within - units effect. The problem of the testing hypothesis of multivariate repeated measurements ANOVA model for complete data are studied in this aspect. The test statistics of various hypotheses on between - units factor, within - units factor, and interaction between.The second aspect : we study the sphericity test for one - way MRM ANOVA model.Also we obtain the likelihood ratio criterion and the th h Moment of this criteria. As well as the asymptotic expansion and limiting distribution of its test, statistics are obtained. These aspects are represented in the second chapter of this thesis.The third aspect : we applied the one - way MRM ANOVA model for the chemistry experiment data in order to investigates the possibility of environment pollution in the water of Shatt ALBasrah Khor AL - Zubair.Also we obtain the likelihood ratio criteria from the variance - covariance matrix which is obtain after transformed observations by using orthogonal matrix. The result have shown that is MRM is a best used because it care with the correlation between observations in the model. In addition, we have shown through likelihood ratio criterion is satisfying the spherical hypothesis in the theory aspect with practice aspect which is represented in third chapter of this thesis.

مقارنة بين الخوارزمية الجينية والشبكات العصبية في تقدير موقع الوسيط لنماذج الانحدار متعدد المتغيرات اللامعلمي == Compared Between Genetic Algorithm And Neural Networks To Estimate The Model of Multivariate Nonparametric

Author name: فاطمة عبد الحميد جواد البيرماني
Supervisor name: صباح منفي رضا الشمري
Specific topic: Statistics
Degree: Doctorate
Language: Arabic
University location: Baghdad
First pages:
Abstract: تستعمل الطرق اللامعلمية في البيانات التي تحتوي على قيم شاذة، الاهمية الاساسية في استعمال الطرق اللامعلمية هو تحديد موقع الوسيط، ففي انموذج انحدارمتعدد المتغيرات يكون من الصعوبة تحديد موقع الوسيط لوجود اكثر من بعد وتشتت القيم وزيادة بيانات الظاهرة المدرو | Used Nonparametric methods to estimates the data containing outlier values ,where classical statistical methods are affected in estimation by having these values,the fundamental importance in the use of Nonparametric methods in the estimate is to identify the median location ,in the multivariate model be difficult to identify the location ,because the model contain more than distance , dispersion of the values and increase sample size.In this thesis it has been the application of genetic algorithms and neural network to find estimate for the median location so dependent on a minimum covariance determinant as one of nonparametric method robust in estimate.The comparison was made between genetic algorithm and neural network in determining the best way to give more accurate results and faster as especially when increasing the size of the sample in addition to the proposed methods and most important characteristics of genetic algorithms and neural networks , possibility of merging with each other to generate a new generation of genetic algorithms and neural networks , after determining the best way of comparison between the genetic algorithm and nural network as well as between the proposed roads are estimated coefficients of the model to the changing time - smoothing spline using either paved parameters have been estimated in manner CV. The study has been applied to environmental pollution statistics to drinking water for the year (2013) included all of Iraqs’ provinces except for the Kurdistan region , divided into (10) months have been used (9) the types of chemical indicators and physical causing contamination of drinking water at the minimum of the measure exceeded.The most important conclusions , the application of genetic algorithm Fast - MCD - Nested Extension where better than MWCDgenetic algorithm , either the proposed genetic algorithm resulting from the merger between Back propagation and above results were better than MWCD genetic algorithm , in terms of neural networks , the use of neural network ART were more the accuracy and speed of multilayered neural network Back propagation and from genetic algorithm Fast - Nested Extension , either neural network resulting from merger between the network ART , Multilayered neural network as well as compared with the proposed genetic algorithm.

تقديرات معلمات انموذج الانحدار متعدد العوامل - متعدد الحدود من الدرجة الثانية مع تطبيق عملي == Estimations Parameters Multi - Factor - A Polynomial of The Second Degree Regression With Practical Application

Author name: غيث عبد الشهيد كاظم السلطاني
Supervisor name: احمد ذياب احمد العزاوي
Specific topic: Statistics
Degree: Master
Language: Arabic
University location: Baghdad
First pages:
Abstract: في انماذج الانحدار تكون عادة العلاقة بين المتغير المعتمد ( ) والمتغير المستقل ( ) او المتغيرات المستقلة ( ) خطية وفي انماذج اخرى تكون لا خطية. وان انموذج الانحدار المتعدد العوامل - المتعدد الحدود من الدرجة الثانية من النماذج اللاخطية والتي يمكن من خلاله ا | Regression models for the relationship between the dependent variable (Y) and the independent variable (X) or independent variables (X’s) which are linear or nonlinear. And multiple regression model factors - Multi - border second class of nonlinear models that can get through the estimators of its parameters. In our research was one of the hypotheses regression unrealized, which is that the random error distribution was the distribution of non - identical (Generalized logistic distribution) which led to the use of more accurate methods than the ordinary methods , such as method of robust Laplace and modified maximum likelihood to obtain a estimates of multiple regression parameters factors - multiple modalities border from the second division. On the theoretical side of this research it was addressed to display some specimen multi - factor regression parameters estimates formats - Multi - border quadratic using ordinary least squares method and the method of the modified maximum likelihood and robust Laplace. In the Experimental side it has been the work of experiments using simulation and comparison of these experiments was the use of the index statistical mean square error of the parameters for the model, and through comparison between the methods show that the modified maximum likelihood was the best. As the best values for my shape parameter and scale parameter (b=1,?=1 ) and each sample sizes (n = 20,50.100). As it has been the application of the modified maximum likelihood to real data represent the fact that your natural hormone insulin diabetes depending on the enzyme GOT data, and the GPT enzyme and hormone Hbalc.It was reached to increase the hormone Hbalc lead to a decrease in the hormone's natural insulin diabetes and this leads to an increase in blood sugar, and increase the enzyme GOT and GPT enzyme leads to increased natural hormone insulin.

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

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.

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.

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:

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

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

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).

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

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.

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).

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)
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