Estimating the variance of a normal population by utilizing the information in a sample from a second related normal population (Q4825493): Difference between revisions
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Property / cites work: Statistical decision theory. Foundations, concepts, and methods / rank | |||
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Property / cites work: Estimating one of two normal means when their difference is bounded / rank | |||
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Property / cites work: On utilizing information from a second sample in estimating variance / rank | |||
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Property / cites work: Double stage estimation of population variance / rank | |||
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Property / cites work: Inadmissibility of the usual estimator for the variance of a normal distribution with unknown mean / rank | |||
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Latest revision as of 14:56, 7 June 2024
scientific article; zbMATH DE number 2111691
Language | Label | Description | Also known as |
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English | Estimating the variance of a normal population by utilizing the information in a sample from a second related normal population |
scientific article; zbMATH DE number 2111691 |
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Estimating the variance of a normal population by utilizing the information in a sample from a second related normal population (English)
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28 October 2004
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normal population
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prior
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mean squared error
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posterior
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Bayesian estimation
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generalized Bayes
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Stein estimator
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Mehta and Gurland estimator
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tables
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