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Madan L. Puri

Bio: Madan L. Puri is an academic researcher from Indiana University. The author has contributed to research in topics: Asymptotic distribution & Nonparametric statistics. The author has an hindex of 35, co-authored 197 publications receiving 7499 citations. Previous affiliations of Madan L. Puri include Université libre de Bruxelles & Polish Academy of Sciences.


Papers
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Journal ArticleDOI
TL;DR: The new definition of expectation generalizes the integral of a set-valued function and derives the Lebesgue-dominated convergence type theorem by considering a suitable generalization of the Hausdorff metric.

1,814 citations

Journal ArticleDOI
TL;DR: The Radstrom embedding theorem is generalized and is used to define the concept of the differential of a fuzzy function.

985 citations

Journal ArticleDOI
TL;DR: A strong law of large numbers and a central limit theorem are proved for independent and identically distributed fuzzy random variables, whose values are fuzzy sets with compact levels.
Abstract: A strong law of large numbers and a central limit theorem are proved for independent and identically distributed fuzzy random variables, whose values are fuzzy sets with compact levels. The proofs are based on embedding theorems as well as on probability techniques in Banach space.

315 citations

Journal ArticleDOI
01 Jan 2001
TL;DR: In this article, the authors summarize some recent developments in the analysis of nonparametric models where the classical models of ANOVA are generalized in such a way that not only the assumption of normality is relaxed but also the structure of the designs is introduced in a broader framework and also the concept of treatment effects is redefined.
Abstract: In this paper, we summarize some recent developments in the analysis of nonparametric models where the classical models of ANOVA are generalized in such a way that not only the assumption of normality is relaxed but also the structure of the designs is introduced in a broader framework and also the concept of treatment effects is redefined. The continuity of the distribution functions is not assumed so that not only data from continuous distributions but also data with ties are included in this general setup. In designs with independent observations as well as in repeated measures designs, the hypotheses are formulated by means of the distribution functions. The main results are given in a unified form. Some applications to special designs are considered, where in simple designs, some well known statistics (such as the Kruskal-Wallis statistic and the χ2-statistic for dichotomous data) come out as special cases. The general framework presented here enables the nonparametric analysis of data with continuous distribution functions as well as arbitrary discrete data such as count data, ordered categorical and dichotomous data.

260 citations


Cited by
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Book
21 Mar 2002
TL;DR: An essential textbook for any student or researcher in biology needing to design experiments, sample programs or analyse the resulting data is as discussed by the authors, covering both classical and Bayesian philosophies, before advancing to the analysis of linear and generalized linear models Topics covered include linear and logistic regression, simple and complex ANOVA models (for factorial, nested, block, split-plot and repeated measures and covariance designs), and log-linear models Multivariate techniques, including classification and ordination, are then introduced.
Abstract: An essential textbook for any student or researcher in biology needing to design experiments, sample programs or analyse the resulting data The text begins with a revision of estimation and hypothesis testing methods, covering both classical and Bayesian philosophies, before advancing to the analysis of linear and generalized linear models Topics covered include linear and logistic regression, simple and complex ANOVA models (for factorial, nested, block, split-plot and repeated measures and covariance designs), and log-linear models Multivariate techniques, including classification and ordination, are then introduced Special emphasis is placed on checking assumptions, exploratory data analysis and presentation of results The main analyses are illustrated with many examples from published papers and there is an extensive reference list to both the statistical and biological literature The book is supported by a website that provides all data sets, questions for each chapter and links to software

9,509 citations

Book
31 Jul 1985
TL;DR: The book updates the research agenda with chapters on possibility theory, fuzzy logic and approximate reasoning, expert systems, fuzzy control, fuzzy data analysis, decision making and fuzzy set models in operations research.
Abstract: Fuzzy Set Theory - And Its Applications, Third Edition is a textbook for courses in fuzzy set theory. It can also be used as an introduction to the subject. The character of a textbook is balanced with the dynamic nature of the research in the field by including many useful references to develop a deeper understanding among interested readers. The book updates the research agenda (which has witnessed profound and startling advances since its inception some 30 years ago) with chapters on possibility theory, fuzzy logic and approximate reasoning, expert systems, fuzzy control, fuzzy data analysis, decision making and fuzzy set models in operations research. All chapters have been updated. Exercises are included.

7,877 citations

Journal ArticleDOI
TL;DR: Convergence of Probability Measures as mentioned in this paper is a well-known convergence of probability measures. But it does not consider the relationship between probability measures and the probability distribution of probabilities.
Abstract: Convergence of Probability Measures. By P. Billingsley. Chichester, Sussex, Wiley, 1968. xii, 253 p. 9 1/4“. 117s.

5,689 citations

Dissertation
01 Jan 1975

2,119 citations