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The problem of estimating desired characteristics of a response $X$, where $X = h(y)$ and $y$ is a vector random variable with statistically independent components from known distributions, may be handled by standard Monte Carlo techniques. We are interested in the generalization where several distributions are of interest, one at a time, for each component of $y$ and the desired characteristics of $X$ must be estimated for each combination of component distributions. A relatively small number of observations, compared to the total number required if each combination were posed as a separate Monte Carlo problem, may be used instead by sampling from a fictitious distribution, calculating an estimate by appropriately weighting the observations, and then reusing the sample. These techniques are standard; the contribution here is to find the fictitious distribution which is best for the characteristics desired, the distributions of interest, and allied considerations. Various concepts of the meaning for "best" are examined in the paper. Finally, a quantitative evaluation is made under restricted conditions.
statistics
statistics
citations This is an alternative to the "Influence" indicator, which also reflects the overall/total impact of an article in the research community at large, based on the underlying citation network (diachronically). | 3 | |
popularity This indicator reflects the "current" impact/attention (the "hype") of an article in the research community at large, based on the underlying citation network. | Average | |
influence This indicator reflects the overall/total impact of an article in the research community at large, based on the underlying citation network (diachronically). | Top 10% | |
impulse This indicator reflects the initial momentum of an article directly after its publication, based on the underlying citation network. | Average |