Sentence examples for default prior from inspiring English sources

Exact(35)

The good news is that these patterns also reveal that recovery (positive G.D.P. growth) begins the year after the default; prior output losses tend to be recovered within three years following the default.

The counterparty credit risk in a financial contract arises from the possibility that at least one of the parties in the contract may default prior to or at the contract's maturity, which may result in failure of this party to fulfil all their contractual obligations leading to financial loss suffered by either one of the two parties in the contract.

The Dirichlet-distributed default prior used by SIAR is designed to be vague so that the results are primarily influenced by the data.

Default usually occurs early during treatment, particularly in the transition period from the IP to CP of treatment, and was weakly associated with male sex, prior default, prior treatment from a private provider, and DOT from a public health facility.

We used the default prior parameters, which imply that a 95% interval for the mean effect size is approximately +/−0.4 phenotype standard deviations, while under the general model the phenotypic variance was allowed to vary over genotypes by about 5%.

We used the program's default prior distributions with the exception of GTR substitution rates in which we used a uniform (0,100) distribution, and the date distributions of the most recent common ancestor of the three clades used for calibration (see below).

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Similar(25)

Evidence in favor of null effects and null interactions was obtained by computing Bayes factors, using the default priors and sampling methods for ANOVA models implemented by Rouder, Morey, Speckman, and Province (2012).

In particular, we consider copula-based approaches to spatial interpolation when the observations are distinctly non-Gaussian and then report on criteria and methods for choosing default priors for Bayesian spatial interpolation and for choosing optimal designs based on (transformed) Gaussian kriging.

The prior distribution of the factor correlation matrix on topics was IW I,p + 1) (p was the number of factors, six in this study) and the prior distribution of grade was also IW(I,p + 1), the Mplus default priors in the categorical factor analysis.

Specifically, while Mplus default priors in the categorical factor model are N 0,5), we additionally set N 0,1), N 0,2.25), and N 0,4) conditions, because the simulation study of the categorical factor model for small sample sizes suggests that small variance priors such as N 0,1) may be more preferable (Asparouhov and Muthén 2010b).

Default priors were used for mixture proportions.

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