Further results on simultaneous confidence intervals for the normal distribution
β Scribed by R. Srinivasan; R. M. Wharton
- Publisher
- Springer Japan
- Year
- 1976
- Tongue
- English
- Weight
- 410 KB
- Volume
- 28
- Category
- Article
- ISSN
- 0020-3157
No coin nor oath required. For personal study only.
π SIMILAR VOLUMES
The usual conΓΏdence intervals for the ratio of two normal variances are constructed from F-distribution. These conΓΏdence intervals are especially important in the variance component model. In this paper, I focus on conΓΏdence estimate and conditional performance of these conΓΏdence intervals. Under so
We offer an approximation to central confidence intervals for directly standardized rates, where we assume that the rates are distributed as a weighted sum of independent Poisson random variables. Like a recent method proposed by Dobson, Kuulasmaa, Eberle and Scherer, our method gives exact interval