Bauman Moscow State Technical University
Author list of organization
List of articles written by the authors of the organization
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CURRENT STATUS OF NONPARAMETRIC STATISTICS
01.00.00 Physical-mathematical sciences
DescriptionNonparametric statistics is one of the five points of growth of applied mathematical statistics. Despite the large number of publications on specific issues of nonparametric statistics, the internal structure of this research direction has remained undeveloped. The purpose of this article is to consider its division into regions based on the existing practice of scientific activity determination of nonparametric statistics and classify investigations on nonparametric statistical methods. Nonparametric statistics allows to make statistical inference, in particular, to estimate the characteristics of the distribution and testing statistical hypotheses without, as a rule, weakly proven assumptions about the distribution function of samples included in a particular parametric family. For example, the widespread belief that the statistical data are often have the normal distribution. Meanwhile, analysis of results of observations, in particular, measurement errors, always leads to the same conclusion - in most cases the actual distribution significantly different from normal. Uncritical use of the hypothesis of normality often leads to significant errors, in areas such as rejection of outlying observation results (emissions), the statistical quality control, and in other cases. Therefore, it is advisable to use nonparametric methods, in which the distribution functions of the results of observations are imposed only weak requirements. It is usually assumed only their continuity. On the basis of generalization of numerous studies it can be stated that to date, using nonparametric methods can solve almost the same number of tasks that previously used parametric methods. Certain statements in the literature are incorrect that nonparametric methods have less power, or require larger sample sizes than parametric methods. Note that in the nonparametric statistics, as in mathematical statistics in general, there remain a number of unresolved problems
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THE CURRENT STATE OF RISK-CONTROLLING
DescriptionThe concept of risk-controlling is based on the general theory of risk. The current state of risk-management in our country is reviewed. We also discuss the research on risk-controlling made in the BMSTU Laboratory of economic-mathematical methods in controlling
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Description
Improvement of the organizational structures can increase the efficiency of enterprises. Controlling of personnel in companies such as "Research Institute" is a tool to support personnel decisions; it contributes to the strategic goals and tactical objectives. This article describes the main types of organizational structures, their properties, sociometric research as a tool for management, the stages of implementation of model of controlling of personnel in human resource management system for companies such as "Research Institute". Controlling of personnel is in regulation of HR processes, benchmarking, monitoring the implementation of the goals, taking into account the costs of implementing improved management systems, etc. It aims to determine the quality, efficiency and optimality of specific mechanisms, technologies and methods for the implementation of the HR function. Objectively, the volume of realization of the HR function depends on the presence of a certain quantities of material, labor, financial and other resources, on the objectives of the enterprise at different stages of the life cycle, as well as the number and qualifications of personnel. The quality of realization of the HR function depends on the level of its top-management's understanding of the importance of human resource management in the enterprise, as well as of the skill level of middle management. Controlling of HR function allows us to create an information base for effective management decisions that can help us to optimize the system of personnel management in the circumstances of the market environment, which is a necessary basis for the successful development of enterprises working in the field of high technology products and services
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SYSTEM PARADIGM AS THE BASIS OF CREATION OF AGRO-INDUSTRIAL COMPLEX CONTROLLING SERVICE
DescriptionSystem paradigm is discussed conformably to functioning of controlling institution of a large-scale agro-industrial system. Presently the systemacity became the general platform of fundamental and applied, scientific and practical elaborations and projects. Now in the sphere of system researches surge of interest in questions of classification is observed. Apparently, it is connected with accumulation of results of private researches in all areas of this discipline and with inevitable transdisciplinary crossings of their practical applications. So, undoubted intervention of high technologies to the agrarian sphere is observed. The efficiency of this introduction, certainly, depends on coordination of actions of developers of various subject domains. On the basis of the objective analysis it must be noted that in the arsenal of managers, especially foreign ones, there is practically no fundamentally new methods and tools of controlling. So says the executive director of Russian Association of Controllers prof. S. G. Falco. However, promising mathematical and instrumental methods of controlling actively developed in our country. It is necessary to implement them. For example, managers should be used advanced mathematical and instrumental methods of controlling. These methods are based on the modern development of mathematics as a whole - on the system interval fuzzy math. Considered methods are developed in accordance with the new paradigm of mathematical methods of research. It includes new paradigms of applied statistics, mathematical statistics, mathematical methods of economics, methods of analysis of statistical and expert data in management and control. In the XXI century there were more than 10 books issued, developed in accordance with the new paradigm of mathematical methods of research. The systems approach to solving specific applications often requires going beyond the economy. Very important are the procedures for the introduction of innovative methods and tools. In this article we consider the above research results in their interconnection
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SYSTEM FUZZY INTERVAL MATHEMATICS - A PROMISING AREA OF THEORETICAL AND COMPUTATIONAL MATHEMATICS
01.00.00 Physical-mathematical sciences
DescriptionThe article b riefly considers the prospects of some “points of growth” in the modern theoretical and computational mathematics: the numbers and sets, i.e. the base of modern mathematics; mathematical, pragmatic and computer numbers; from the usual sets - to unclear; the theory of fuzzy sets and “fuzzy dou-bling” of mathematics; the mix of fuzzy set theory to the theory of random sets; interval numbers as a spe-cial case of fuzzy sets; development of interval mathematics (interval doubling of mathematics); the system as a generalization of a multitude; the systematic generalization of mathematics and tasks emerging; the systematic generalization of operations on sets (on the example of the operation of the Boolean association); the systematic generalization of the concept of functions and functional dependencies participation; cognitive function; the matrix of knowledge as fuzziness with an estimated degree of truth of showing data systems arguments on the system of values of the function; modification of the method of least squares for the approximation of cognitive functions; development of the idea of the systematic generalization of mathematics in the field of information theory – system emergent information theory; information measures of the level of consistency; ratios of emergence; direct and opposite, direct and indirect logical reasoning with an estimated level of truth; intellectual system of Eidos X++ as a toolkit that implements the ideas of system of a fuzzy interval sum of mathematics
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SYSTEM OF MODELS AND METHODS OF TESTING THE HOMOGENEITY OF TWO INDEPENDENT SAMPLES
08.00.13 Mathematical and instrumental methods of Economics
DescriptionThe new paradigm of mathematical research methods allows us to give a systematic analysis of various statements of statistical analysis problems and methods for solving them, based on a probabilistic-statistical model of generating data accepted by the researcher. Methods for testing the homogeneity of two independent samples - a classic area of mathematical statistics. For more than 110 years since the publication of the fundamental Student’s article, various criteria have been developed for testing the statistical hypothesis of homogeneity in various statements, and their properties have been studied. However, the need for streamlining the totality of the scientific results found is urgent. It is necessary to analyze the whole variety of problem statements for testing the statistical hypotheses of the homogeneity of two independent samples, as well as the corresponding statistical criteria. This analysis is devoted to this article. It contains a summary of the main results concerning the methods for testing the homogeneity of two independent samples, and a comparative study of them, allowing the system to analyze the diversity of such methods in order to select the most appropriate for processing specific data. Based on the basic probabilistic-statistical model, the main statements of the problem of testing the homogeneity of two independent samples are formulated. A comparative analysis of the Student and Cramer - Welch criteria, designed to test the homogeneity of mathematical expectations, is given, a recommendation on the widespread use of the Cramer - Welch criterion is substantiated. From nonparametric methods for testing homogeneity, the criteria of Wilcoxon, Smirnov, Lehmann - Rosenblatt are considered. Dismantled two myths about the Wilcoxon criteria. Based on the analysis of the publications of the founders, the incorrectness of the term "Kolmogorov – Smirnov criterion" is shown. To verify absolute homogeneity, i.e. coincidence of the distribution functions of samples, it is recommended to use the Lehmann - Rosenblatt criterion. The current problems of the development and application of nonparametric criteria are discussed, including the difference between nominal and real significance levels, making it difficult to compare power of criteria, and the need to take into account coincidences of sample values (from the point of view of the classical theory of mathematical statistics, the probability of coincidences is 0)
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ROLE OF THE FOREIGN FACTOR IN INNOVATIVE DEVELOPMENT OF THE RUSSIAN ECONOMY
DescriptionInfluence of a foreign factor on innovative development of the countries isn't unambiguous, for Russia the foreign capital was rather limiting factor, than incentive to development. The analysis of historical experience of development of domestic science and equipment showed that the maximum innovative activity of economy was noted during the centralized science funding and education. The most important for the invention and opening which found the application in domestic economy, were made times of the state control of processes of development and introduction of new types of production and technologies. As a result of the retrospective analysis, it was revealed that innovative processes in domestic economy in the period of economic sanctions and restrictions especially become more active. In this work, it is shown that the market mechanisms providing free movement of technologies, knowledge, scientists and experts have negative impact on the developing national innovative system. Foreign investments by means of which foreign corporations exercise control over the domestic enterprises have special impact on development and promote capital outflow abroad. It is offered to toughen control of the foreign capital within the current legislation and to promote activation of an exchange of scientific and technical information at the international level
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RISKS AND PRIORITIES OF THE STRATEGY OF DEVELOPMENT OF THE NATIONAL SPACE-ROCKET INDUSTRY
DescriptionBased on risk analysis and consequences of the accidents which have happened to the space equipment from the moment of the beginning of an active phase of space activity, the authors have come to a conclusion that initial stages of life cycle of the project, namely start and a conclusion to an orbit of artificial Earth satellites are subject to the greatest risks. Further functioning of the spacecraft in an orbit is accompanied by much smaller risks, and the least risky are works on service of land infrastructure, processing and information transfer to consumers. Methods of economic protection, which provide acceptance or transfer for a certain payment of risks are not always acceptable for an initial stage of the space project – start and removal into a satellite orbit. Authors suggest evading whenever possible from similar risks for what it is necessary to reduce starts for the benefit of foreign customers. The research of structure of the world space market has shown that such kinds of activity as production of land space infrastructure and rendering services of satellite communication and broadcasting are the most demanded. The market of starting services is gradually reduced in connection with miniaturization of the equipment of satellites and high specific risks of start. The policy of Roskosmos is focused generally on preservation of leadership in starting services which differ in high risks, to the detriment of creation of own satellite group capable to render a wide range of space services to foreign partners. Change of reference points of the strategy of development of the domestic spacerocket industry towards highly profitable and least risky types of space activity is offered
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REAL AND NOMINAL SIGNIFICANCE LEVELS IN STATISTICAL HYPOTHESIS TESTING
01.00.00 Physical-mathematical sciences
DescriptionIn the statistical hypothesis testing, critical values often point to a priori fixed (nominal) significance levels. As such, typically researcher uses the values of three numbers 0.01, 0.05, 0.1, to which may be added a few levels: 0.001, 0.005, 0.02, and others. However, for the statistics with discrete distribution functions, which, in particular, include all nonparametric statistical tests, the real significance levels may be different from the nominal, differ at times. Under the real significance level we refer to the highest possible significance level of discrete statistics, not exceeding a given nominal significance level (ie, the transition to the next highest possible value corresponding discrete statistical significance level is greater than a predetermined nominal). In the article, we have discussed the difference between nominal and real significance levels on the example of nonparametric tests for the homogeneity of two independent samples. We have also studied two-sample Wilcoxon test, the criterion of van der Waerden, Smirnov two-sample two-sided test, sign test, runs test (Wolfowitz) and calculated the real significance levels of the criteria for nominal significance level of 0.05. The study of the power of these statistical tests is accomplished by means of Monte Carlo method. The main conclusion: the use of nominal significance levels instead of real significance levels for discrete statistics is inadmissible for small sample sizes
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DISTANCES IN THE SPACES OF STATISTICAL DATA
01.00.00 Physical-mathematical sciences
DescriptionThe core of applied statistics is statistics in spaces of arbitrary nature, based on the use of distances and optimization problems. This article discusses the various distances in spaces of statistical data, in particular, their conclusions on the basis of appropriate systems of axioms. The conditions and proofs of theorems first published in scientific periodicals