Interval Estimation of the Slope of the Major Axis of a Bivariate Normal Distribution in the Case of a Small Sample
โ Scribed by Pierre Jolicoeur
- Book ID
- 125752846
- Publisher
- John Wiley and Sons
- Year
- 1968
- Tongue
- English
- Weight
- 369 KB
- Volume
- 24
- Category
- Article
- ISSN
- 0006-341X
- DOI
- 10.2307/2528326
No coin nor oath required. For personal study only.
๐ SIMILAR VOLUMES
Sampling experiments are done on the maximum likelihood estimator, k = tan (f), of the slope of the bivariate normal major axis, which is often used on log-transformed data to estimate ailometry exponents. The slope tan (f) becomes highly variable in small samples from populations with low correlati
The authors gratefully acknowledge the valuable assistance of Mr. M. ROSIN of Data Processing Division, United Aircraft Research Laboratories, East Hartford, Conn.. in preparation of Tables 2 to 4. 11. ' l & = P(") f (X'"' -Y'"') [sf ( n ) -S,? (n)];[S: (n) + s; (n) -2 Si? (n)].