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Statements

Subject Item
dbr:Generalized_p-value
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Generalized p-value
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In statistics, a generalized p-value is an extended version of the classical p-value, which except in a limited number of applications, provides only approximate solutions. Conventional statistical methods do not provide exact solutions to many statistical problems, such as those arising in mixed models and MANOVA, especially when the problem involves a number of nuisance parameters. As a result, practitioners often resort to approximate statistical methods or asymptotic statistical methods that are valid only when the sample size is large. With small samples, such methods often have poor performance. Use of approximate and asymptotic methods may lead to misleading conclusions or may fail to detect truly significant results from experiments.
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dbc:Statistical_hypothesis_testing
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1012658483
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dbr:Asymptotic_theory_(statistics) dbr:Behrens–Fisher_problem dbr:Journal_of_the_American_Statistical_Association dbr:P-value dbr:Mixed_model dbr:Experiment dbr:Statistics dbr:Nuisance_parameter dbr:MANOVA dbc:Statistical_hypothesis_testing dbr:Statistical_significance dbr:Variance_components dbr:ANOVA
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In statistics, a generalized p-value is an extended version of the classical p-value, which except in a limited number of applications, provides only approximate solutions. Conventional statistical methods do not provide exact solutions to many statistical problems, such as those arising in mixed models and MANOVA, especially when the problem involves a number of nuisance parameters. As a result, practitioners often resort to approximate statistical methods or asymptotic statistical methods that are valid only when the sample size is large. With small samples, such methods often have poor performance. Use of approximate and asymptotic methods may lead to misleading conclusions or may fail to detect truly significant results from experiments. Tests based on generalized p-values are exact statistical methods in that they are based on exact probability statements. While conventional statistical methods do not provide exact solutions to such problems as testing variance components or ANOVA under unequal variances, exact tests for such problems can be obtained based on generalized p-values. In order to overcome the shortcomings of the classical p-values, Tsui and Weerahandi extended the classical definition so that one can obtain exact solutions for such problems as the Behrens–Fisher problem and testing variance components. This is accomplished by allowing test variables to depend on observable random vectors as well as their observed values, as in the Bayesian treatment of the problem, but without having to treat constant parameters as random variables.
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