Person:1565546: Difference between revisions

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Person:1565546
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m AuthorDisambiguator moved page Samuel S. Wilks to Samuel S. Wilks: Duplicate
 
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Latest revision as of 07:15, 12 December 2023

Available identifiers

zbMath Open wilks.samuel-sWikidataQ2250213 ScholiaQ2250213MaRDI QIDQ1565546

List of research outcomes

PublicationDate of PublicationType
https://portal.mardi4nfdi.de/entity/Q53357421963-01-01Paper
https://portal.mardi4nfdi.de/entity/Q55615621962-01-01Paper
https://portal.mardi4nfdi.de/entity/Q55507891961-01-01Paper
https://portal.mardi4nfdi.de/entity/Q32631191960-01-01Paper
https://portal.mardi4nfdi.de/entity/Q32708981960-01-01Paper
Recurrence of extreme observations1959-01-01Paper
https://portal.mardi4nfdi.de/entity/Q32728651959-01-01Paper
Teaching Statistical Inference in Elementary Mathematics Courses1958-01-01Paper
https://portal.mardi4nfdi.de/entity/Q58151721952-01-01Paper
https://portal.mardi4nfdi.de/entity/Q57903071948-01-01Paper
Order statistics1948-01-01Paper
Approximation of the Distribution of the Product of Beta Variables by a Single Beta Variable1946-01-01Paper
Sample Criteria for Testing Equality of Means, Equality of Variances, and Equality of Covariances in a Normal Multivariate Distribution1946-01-01Paper
https://portal.mardi4nfdi.de/entity/Q58362351943-01-01Paper
Statistical Prediction with Special Reference to the Problem of Tolerance Limits1942-01-01Paper
Determination of sample sizes for setting tolerance limits.1941-01-01Paper
Fluid mechanics and statistical methods in engineering.1941-01-01Paper
Determination of Sample Sizes for Setting Tolerance Limits1941-01-01Paper
An optimum property of confidence regions associated with the likelihood function.1939-01-01Paper
An Optimum Property of Confidence Regions Associated with the Likelihood Function1939-01-01Paper
The analysis of variance and covariance in non-orthogonal data.1938-01-01Paper
Shortest average confidence intervals from large samples.1938-01-01Paper
Fiducial distributions in fiducial inference.1938-01-01Paper
The large-sample distribution of the likelihood ratio for testing composite hypotheses.1938-01-01Paper
Weighting systems for linear functions of correlated variables when there is no dependent variable.1938-01-01Paper
The analysis of variance and covariance in non-orthogonal data1938-01-01Paper
The Large-Sample Distribution of the Likelihood Ratio for Testing Composite Hypotheses1938-01-01Paper
Shortest Average Confidence Intervals from Large Samples1938-01-01Paper
Fiducial Distributions in Fiducial Inference1938-01-01Paper
Note on the general sampling moments of \(\lambda_{H_1}\).1937-01-01Paper
https://portal.mardi4nfdi.de/entity/Q57671731937-01-01Paper
The sampling theory of systems of variances, covariances and intraclass covariances.1936-01-01Paper
The Sampling Theory of Systems of Variances, Covariances and Intraclass Covariances1936-01-01Paper
The sampling theory of systems of variances, covariances, and intraclass covariances.1935-01-01Paper
On the independence of \(k\) sets of normally distributed statistical variables.1935-01-01Paper
The likelihood test of independence in contingency tables.1935-01-01Paper
Test criteria for statistical hypotheses involving several variables.1935-01-01Paper
On the Independence of k Sets of Normally Distributed Statistical Variables1935-01-01Paper
Test Criteria for Statistical Hypotheses Involving Several Variables1935-01-01Paper
The Likelihood Test of Independence in Contingency Tables1935-01-01Paper
Moment-generating operators for determinants of product moments in samples from a normal system1934-01-01Paper
The independance of estimates of variance in samples from Latin square lay-outs.1934-01-01Paper
Moment-generating operators for determinants of product moments in samples from a normal system.1934-01-01Paper
Methods of statistical analysis appropriate for \(k\) samples of two variables.1933-01-01Paper
A generalized sampling distribution for the multiple correlation coefficient.1933-01-01Paper
A criterion for testing the hypothesis of mutual independence of a set of normal multivariate populations.1933-01-01Paper
METHODS OF STATISTICAL ANALYSIS APPROPRIATE FOR k SAMPLES OF TWO VARIABLES1933-01-01Paper
The standard error of a tetrad in samples from a normal population if independent variables.1932-01-01Paper
Distribution of certain statistics in matched pairs of samples from a normal bi-variate population.1932-01-01Paper
Determination of characteristic functions of quadratic statistics by determinants.1932-01-01Paper
Estimates, moments and distributions of certain statistics in fragmentary samples.1932-01-01Paper
Moments and Distributions of estimates of population parameters from fragmentary samples.1932-01-01Paper
On the sampling distribution of the multiple correlation coefficient.1932-01-01Paper
On the distributions of statistics in samples from a normal population of two variables with matches sampling of one variable1932-01-01Paper
CERTAIN GENERALIZATIONS IN THE ANALYSIS OF VARIANCE1932-01-01Paper
Moments and Distributions of Estimates of Population Parameters from Fragmentary Samples1932-01-01Paper
On the Sampling Distribution of the Multiple Correlation Coefficient1932-01-01Paper
The Standard Error of a Tetrad in Samples from a Normal Population of Independent Variables1932-01-01Paper
Certain generalizations in the analysis of variance.1932-01-01Paper
Certain generalizations in the analysis of variance.1932-01-01Paper
The standard error of the means of ``matched samples.1931-01-01Paper
On the distributions of statistics in samples from a normal population of two variables with matched sampling of one variable.1931-01-01Paper

Research outcomes over time


Doctoral students

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This page was built for person: Samuel S. Wilks