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The Arctan-X Family of Distributions: Properties, Simulation, and Applications to Actuarial Sciences
Author(s) -
Ibrahim Alkhairy,
M. Nagy,
Abdisalam Hassan Muse,
Eslam Hussam
Publication year - 2021
Publication title -
complexity
Language(s) - English
Resource type - Journals
SCImago Journal Rank - 0.447
H-Index - 61
eISSN - 1099-0526
pISSN - 1076-2787
DOI - 10.1155/2021/4689010
Subject(s) - inverse trigonometric functions , weibull distribution , mathematics , statistics , estimator , econometrics , mathematical analysis
The purpose of this paper is to investigate a new family of distributions based on an inverse trigonometric function known as the arctangent function. In the context of actuarial science, heavy-tailed probability distributions are immensely beneficial and play an important role in modelling data sets. Actuaries are committed to finding for such distributions in order to get an excellent fit to complex economic and actuarial data sets. The current research takes a look at a popular method for generating new distributions which are excellent candidates for dealing with heavy-tailed data. The proposed family of distributions is known as the Arctan-X family of distributions and is introduced using an inverse trigonometric function. For the specific purpose of the show of strength, we studied the Arctan-Weibull distribution as a special case of the developed family. To estimate the parameters of the Arctan-Weibull distribution, the frequentist approach, i.e., maximum likelihood estimation, is used. A rigorous Monte Carlo simulation analysis is used to determine the efficiency of the obtained estimators. The Arctan-Weibull model is demonstrated using a real-world insurance data set. The Arctan-Weibull is compared to well-known two-, three-, and four-parameter competitors. Among the competing distributions are Weibull, Kappa, Burr-XII, and beta-Weibull. For model comparison, we used the most precise tests used to know whether the Arctan-Weibull distribution is more useful than competing models.

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