Communications in Statistics-Simulation and Computation

Papers
(The median citation count of Communications in Statistics-Simulation and Computation is 0. The table below lists those papers that are above that threshold based on CrossRef citation counts [max. 250 papers]. The publications cover those that have been published in the past four years, i.e., from 2021-11-01 to 2025-11-01.)
ArticleCitations
Nonparametric multi-task regression under group sparsity and low-rank structures28
A joint estimation for the high-dimensional regression modeling on stratified data22
Dispersion insensitive truncated models for inflated count data with upper bound22
Potential bias introduced by not including multiple time-scales in survival analysis: a simulation study19
On the dynamical system of principal curves in18
Range-based volatility modeling in financial markets using a family of scale mixtures of Birnbaum-Saunders distribution16
Sieve bootstrap test for changes between unit root and long memory process with time trend16
Generalized inverse transformation method via representative points in statistical simulation14
An improved permutation-based FDR estimator for heavy-tailed data13
Non parametric estimation of parameters in using safety first criteria13
Statistical models of ballot truncation in ranked choice elections13
On the maximum extropy negation of a probability distribution12
Exploring the generalizability of the optimal 0.234 acceptance rate in random-walk metropolis and parallel tempering algorithms11
An algorithm for computing generalized D -optimal allocation with cost consideration in regression models11
Panel buffered threshold spatial Durbin model11
The first hitting times and first exit times for the exponential Ornstein–Uhlenbeck process11
Detection and handling outliers in longitudinal data: wavelets decomposition as a solution10
groupTesting: an R package for group testing estimation10
Superpopulation model inference for non-probability samples under informative sampling9
Alternative methods for interpreting Monte Carlo experiments9
L p -Solutions of backward doubly SDEs with continuous and stochastic linear growth coefficients and p 9
Orthogonal series method for uncertain nonparametric regression with application to carbon dioxide emissions8
Statistical inference under joint type-II censored data from two Burr-XII populations8
Objective Bayesian analysis of the ratio of bivariate lognormal means8
Memory-type ratio and product estimators for population variance using exponentially weighted moving averages for time-scaled surveys8
An extended logit-normal regression with application to human development index data8
An exact bootstrap-based bandwidth selection rule for kernel quantile estimators8
Ridge estimation strategies for the simplex regression model with different link functions: simulation and applications8
Estimation of Lindley constant-stress model via product of spacing with Type-II censored accelerated life data8
Regression-based imputation of explanatory discrete missing data8
Distributed estimation for large-scale expectile regression7
Level permutations and factor projections of multiple quadruple designs7
Modeling survival response using a parametric approach in the presence of multicollinearity7
An investigation on synthetic data generation from original incomplete data7
Steady state coupled hidden Markov model7
Investigation of the effect of bars on the properties of spiral galaxies: a multivariate statistical study7
A one-chart scheme for joint monitoring of the two parameters of zero-inflated Poisson processes7
Mean and sensitivity estimation using optional scrambled randomized response technique7
Homogeneity test and sample size of risk difference for stratified unilateral and bilateral data7
A robust test statistic for independence in high dimensional data7
Improving the efficiency and efficacy of robust sequential bifurcation under data contamination7
Evaluating the sensitive question methods; recommended Uludag Adjustment for the Crosswise Model7
A simple approximation solution for the Behrens–Fisher problem7
Bootstrap tests for unbiasedness of predictors7
Higher education teaching and exploitation of student evaluations through the use of control charts: revisited and expanded6
Multivariate hidden semi-Markov models for longitudinal data: a dynamic regression modeling6
Adaptive EWMA and CUSUM charts with dynamic probability control limits6
Empirical study of periodic autoregressive models with additive noise – estimation and testing6
Moment estimation for uncertain regression model with application to factors analysis of grain yield6
An efficient algorithm for the weighted elastic net penalized quantile regression6
Optimal subsampling for functional composite quantile regression in massive data6
OTL web interface: outlier testing in lifetime data6
Intervened exponential autoregressive model and it’s applications6
A modified single-stage sampling procedure for heteroscedasticity analysis of means with unbalanced design6
Statistical methods for assessing treatment effects on ordinal outcomes using observational data6
Robust estimation of the distributed lag model with multicollinearity and outliers6
Approximation of the lognormal distribution as a solution to the sum of lognormal variates6
Single-stage sampling procedure for heteroscedasticity in multiple comparisons with a control6
Robust variable selection via nonconcave penalties with an upgraded parsimonious dynamic covariance modeling6
Recursive generalized gamma kernel density estimation for nonnegative dependent data6
A Lévy-Itô model driven by approximate Riemann-Liouville fractional Brownian motions for pricing financial derivatives6
Software failure prediction using hybrid deep learning model with optimization-enabled feature selection6
A new class of zero-truncated counting models and its application6
Bootstrap Liu-type estimator for Conway-Maxwell-Poisson regression model6
Active learning with logistic models featuring simultaneous variable and subject selection5
Bimodal heteroskedastic bivariate regression with application to soy data5
New simple bounds for standard normal distribution function5
The empirical estimation of Central Bank policy preference variables with time-variable loss functions5
Assessing the non-inferiority of a new treatment in a three-arm trial with unknown coefficient of variation5
First-order spatial dependent count integer-valued autoregressive (Sp-DCINAR(1,1)) process5
Uniform strong consistency of histogram density estimation for φ -mixing samples5
A novel goodness-of-fit test for progressively Type II censored data5
From bibliometrics to text mining: exploring feature selection methods in microarray research5
Bayesian bridge and reciprocal bridge composite quantile regression5
Applying ORRT for the estimation of population variance of sensitive variable5
Factor-driven completion of tensor data with missing entries5
On some two parameter estimators for the linear regression models with correlated predictors: simulation and application5
Permutation tests for multivariate order-constrained testing problems5
Construction of D-optimal saturated designs for mixture experiments: a computer-aided algorithmic search5
Ridge regression-type mean estimators based on Searls approach in sensitive and non-sensitive contexts5
Modified ridge-type estimator for the zero inflated negative binomial regression model5
Testing homogeneity of several exponential populations using censored data5
Max-EWMA chart for time and magnitude monitoring using generalized exponential distribution5
First-order spatial random coefficient non-negative integer-valued autoregressive (SRCINAR(1,1)) model4
The asymptotic central-raw ratios for binomial, Poisson and normal distributions4
Extending the Liu estimator for the Cox proportional hazards regression model with multicollinearity4
GARCH based value-at-risk assessment when the observed process is iid4
A machine learning approach for clustered data4
Complex survey design for estimation of total of sensitive variable using correlated scrambling variables4
Ridge estimation for UTAR model with application to raw coal production and consumer price indexes4
The nonparametric GARCH model estimation using intraday high-frequency data4
A special double sampling three-level control chart4
Kernel ridge prediction method in partially linear mixed measurement error model4
Sensitivity analysis of Bayesian nonparametric spatial crash frequency models4
Analysis of overlapping count data4
Tests for spatial dependence and temporal heterogeneity in time-varying coefficient spatial autoregressive panel data model4
A note on Farebrother’s estimator: a comparative study4
Generalized random forest for extreme quantile regression4
Bayesian confidence intervals for the ratio of the means of zero-inflated gamma distributions with application to rainfall data4
A study of particle motion in the presence of clusters4
A robust method for canonical correlation analysis4
Weighted adaptive CUSUM mean chart with variable sample size and sampling interval4
Generalized Birnbaum–Saunders mixture cure frailty model: inferential method and an application to bone marrow transplant data4
Quantile Fourier transform, quantile series, and nonparametric estimation of quantile spectra4
The expectation-maximization algorithm for autoregressive models with normal inverse Gaussian innovations4
Optimal acceptance sampling plans based on generalized half-normal distribution under time-censoring with conventional and expected limited risks4
PICBayes: Bayesian proportional hazards models for partly interval-censored data4
Maximum likelihood and Bayesian estimation of traffic intensity for a bulk-service queue with batch-size-dependent service mechanism4
Better confidence intervals for the slope parameters of the quadratic regression model when the error term is not normally distributed4
A comparison of robust principal component analysis in high dimensions4
Second-order asymptotics for comparing treatment means from purely sequential estimation strategies under possible outlying observations4
Bayesian model selection for environment emission analysis4
Model selection for big multivariate time series data using emulators4
A bivariate geometric distribution via conditional specification: properties and applications3
On the frequency domain composite likelihood methods for estimating space-time covariance functions for large datasets3
A control chart based on data depth for monitoring the variability in a multivariate process3
Range moment risk measures for elliptical distributions3
Liu-type shrinkage estimators for mixture of logistic regressions: an osteoporosis study3
Multi-resolution filters via linear projection for large spatio-temporal datasets3
On the maximum likelihood estimation based on one-shot test device data and the associated adaptive design3
A dynamic approach to relative taxonomy and robust measures of central tendency3
New kinds of biased estimators for linear regression model3
CM-generator: an approach for generating customized correlation matrices3
Semiparametric volatility model with varying frequencies3
Bootstrap confidence interval estimation in generalized nonlinear models3
Seemingly unrelated penalized regression models3
A new improvement Liu-type estimator for the Bell regression model3
Change point detection for the intraday volatility using functional ARCH and conditional Copula3
Empirical likelihood based tests for the linear hypothesis in partially linear spatial autoregressive models3
Evaluating model fit for type II censored data: a Bayesian non-parametric approach based on the Kullback-Leibler divergence estimation3
Performance evaluation of estimators in the presence of outliers or omitted predictors: a study on the Poisson-Exponential regression model3
Distribution of squared sum of products of independent Nakagami- m random variables3
Bayesian networks: generating independent samples3
Reliability analysis of m -out-of- r -within- k -out-of- n system3
Backward stepwise ridge regression and the Lasso: how do they do as finders of true regressors and their coefficients?3
A two-stage framework for credit scoring based on feature augmentation and dimension reduction3
The EM algorithm for variance component estimation in multivariate Fay-Herriot model3
Algorithms to obtain generalized neighbor designs in minimal circular blocks3
Permuting density-based empirical likelihood ratio test statistics3
Designing efficient Bayesian sampling plans for exponential distributions based on samples under a ( n , t ) simple step-stress test3
Lower and upper bounds for Q-function and its related functions3
A statistically efficient algorithm for estimating the parameters of a chirp signal model with time-varying amplitude3
Geometric and harmonic aging intensity functions and their reliability perspective3
On three-parameter generalized exponential distribution3
Comparison of link functions for the estimation of logistic ridge regression: an application to urine data3
A robust test approach for equality of mean vectors of two independent groups under the multivariate Behrens-Fisher problem3
Reliability modeling and evaluation for degradation data with heterogeneous initiation time3
Classification in high dimension with an Alternative Feature Augmentation via Nonparametrics and Selection (AFANS)3
MEWMA based control charts with runs rules for monitoring multivariate simple linear regression profiles in Phase II3
A novel hypothesis testing method of skew-normal distribution based on the fourth-order moment property3
Exploring concomitants and upper records in Bivariate Pseudo Powered Rayleigh models3
Faster computation of likelihood gradients for discrete observation Hidden Markov model3
A note on interval cumulative past Renyi entropy3
On Periodic Generalized Poisson INAR(1) Model3
Evaluation of careless or insufficient effort responses given to scales3
On several properties of a novel class of generalized Humbert autoregressive moving average process3
On several local asymptotic properties for fractional autoregressive models with strong mixing noises3
Sufficient dimension reduction in the presence of controlling variable and missing multivariate response3
Dynamic weak-significant variable selection of error component model via robust MM algorithm3
A mixed BAR(1) model driven by serially dependent innovation with application3
Multi-robot assisted communication service in disaster areas using fractional chameleon swarm algorithm3
How well do ridge parameter estimators proposed so far perform in terms of normality, outlier detection, and MSE criteria?3
Optimal portfolio selection using quantile and composite quantile regression models3
Robust monitoring conditional volatility change for time series based on support vector regression3
On goodness-of-fit test for exponentiality based on block censored spacings3
New and efficient estimators of population mean of sensitive study variable using optional randomized response model3
Inferences about robust measures of effect size for two dependent variables including situations where there is a covariate3
New second order approximation method for posterior precision evaluation of weighted total least squares estimates with analytical expression3
Complete moment convergence for randomly weighted sums of negatively superadditive dependent random variables3
Predicting car loan approval probability using credit information reports through a machine learning approach2
The multivariate control chart with variable dimension for monitoring both location and dispersion2
Alternative tests for the significance of the intraclass correlation coefficients under unequal family sizes2
Linear rank tests for left-truncated data using randomized block design: saddlepoint p -values and confidence intervals2
Analysis of combined probability and nonprobability samples: a simulation evaluation and application to a teen smoking behavior survey2
The Berry–Esseen bound of sample quantiles for ANA random variables2
A novel hybrid robust tapering approach for nonlinear regression in the presence of autocorrelation and outliers2
Simulation comparison of the effects of missing data imputation methods on classification performance in high dimensional data2
A joint monitoring of the process mean and variance with a generally weighted moving average maximum control chart2
Efficient simulation of Hawkes processes2
Prediction of cryptocurrency prices through a path dependent Monte Carlo simulation2
Linear regression of interval-valued data based on d p metric2
Balancing accuracy and cost: a new estimator for stratified random sampling2
Reliability inference of stress-strength for a K -out-of- N : G mixed standby system with switching failure2
OCtS: an alternative of the t-Score method sensitive to outliers and correlation in feature selection2
Kappa-Cover: a novel asymmetric comparison of distributions2
Applying multilevel regression weighting when only population margins are available2
Bivariate first-order random coefficient integer-valued autoregressive processes based on modified negative binomial operator2
Inference on powers of the scale parameters for two exponential populations under equality restriction on location parameter2
A revisit to Pearson correlation coefficient under multiplicative distortions2
Gaussian copula joint models for mixed longitudinal zero-inflated count and continuous responses2
Convergence properties for randomly weighted sums of ρ -mixing sequences with related statistical applications2
Bayesian estimation for heterogeneous spatial autoregressive models with variance modelling2
Local influence in linear mixed measurement error models with ridge estimation2
Parametric hypothesis tests for exponentiality under multiplicative distortion measurement errors data2
Alternative estimators of finite buffer queuing system – a simulation approach2
Adaptive subsample estimation for multivariate normal distributions2
A comparison of robust and weighted multiple imputation approaches for estimating concordance correlation coefficients in longitudinal normal data2
Pricing vulnerable forward starting options under a jump-diffusion model with stochastic volatility2
Run order consideration for sequential third order rotatable designs2
A report on the paper “xia cai, feng siman & yan liang (2022): generalized fiducial inference for the lower confidence limit of reliability based on weibull distribution, communications in statist2
Hybrid model approach in data mining2
Bayesian analysis on a natural conjugate prior for the nonhomogeneous Poisson process with a power-law intensity under time-truncated sampling2
Semiparametric spatial frailty modeling for survival data based on copulas2
Additive hazards model for bivariate lifetime data2
Regression analysis of asynchronous longitudinal data with informative dropout and dependent observation2
Model detection for grey forecasting model with polynomial term2
K -depth tests for testing simultaneously independence and other model assumptions in time series2
Drift estimation for a class of generalized Ornstein-Uhlenbeck process with fluctuating exponential trend2
Asymptotic properties of estimators in a semi-parametric regression model with infinite r th moments2
Empirical simulation for complex clinical trial data in drug development2
Enhanced trajectory data visualization: a dynamic time warping integrated t-SNE approach with real-data applications2
Modified method of moments for generalized Laplace distributions2
Parametric bootstrap and fiducial inference for two-sample problems: two-parameter Maxwell distributions2
The performance of double exponentially weighted moving average control charts for monitoring the coefficient of variation2
Multiple arbitrarily inflated Poisson regression analysis2
Tests for comparing the means of two independent Conway-Maxwell Poisson distributions2
Vasicek interest rate model under Lévy process and pricing bond option2
Optimal designs of variable sample size control chart for monitoring the multivariate coefficient of variation in short production runs2
Correction2
Sequential monitoring clinical trial by conditional power under drift fractional Brownian motion2
Maximum likelihood thresholds of Gaussian graphical models and graphical lasso2
Sparse groupwise envelope model for efficient estimation and response variable selection2
Confidence intervals for zero-inflated gamma distribution2
Adaptive change point detection and sparsity recovery2
Viability for Itô stochastic systems with non-Lipschitzian coefficients and its application2
Exponential stochastic volatility model with Laplace returns and its variants2
Comparison of two coefficients of variation: a new Bayesian approach2
Monitoring process mean and variability with one triple EWMA chart2
Comparing the robustness of tests for stochastic versus deterministic trend in time series2
INAR(1) process with weighted negative binomial Lindley distributed innovations and applications to criminal and COVID-19 data2
Alternative general method of moments estimators in dynamic panel data models2
Double robust semiparametric weighted M-estimators of a zero-inflated Poisson regression with missing data in covariates2
Testing ARCH effect of high-dimensional time series data2
Application of Kalman Filtering with Bayesian formulation in adaptive sampling2
Confidence intervals of difference and ratio of means for zero-adjusted inverse Gaussian distributions2
A new sequential signed-rank test for the one-sample location problem2
An improved approximation method for the expected value and standard deviation of extreme order statistics of Gaussian samples2
Estimation of the mean value function for gamma trend renewal process2
Estimation of heterogeneous population variance using memory-type estimators based on EWMA statistic in the presence of measurement error for time-scaled surveys2
Inference for estimators of generalized long memory processes2
Scalable kernel two-sample tests via empirical likelihood and jackknife2
Improved testing of homogeneity against simple ordered alternatives for exponential location parameters under heteroscedasticity: a simultaneous confidence intervals approach for successive pairwise d2
A novel low complexity fast algorithm for effectively designing optimal mixed-level experiments2
Maximum likelihood estimation of the SDMINAR( p ) model to analyze some COVID-19 data2
A simpler sampler for Bayesian multivariate probit regression2
Modeling systems with revealing and non-revealing failures undergoing periodic inspection2
Non-Parametric Estimation for Locally Stationary Integer-Valued Processes2
Impact of record-linkage errors in Covid-19 vaccine-safety analyses using German health-care data: a simulation study2
Jackknife empirical likelihood inference for the lifetime performance index2
A grouped spatial-temporal model for PM 2.5 data and its applications on outlier detection2
0.078932046890259