Optimal confidence interval for the largest mean of correlated normal populations and its application to stock fund evaluation (Q1023841): Difference between revisions
From MaRDI portal
Latest revision as of 13:24, 10 December 2024
scientific article
Language | Label | Description | Also known as |
---|---|---|---|
English | Optimal confidence interval for the largest mean of correlated normal populations and its application to stock fund evaluation |
scientific article |
Statements
Optimal confidence interval for the largest mean of correlated normal populations and its application to stock fund evaluation (English)
0 references
16 June 2009
0 references