H. O. Hartley

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Person:1258565

Available identifiers

zbMath Open hartley.herman-ottoFactGridQ225096WikidataQ276970 ScholiaQ276970MaRDI QIDQ1258565

List of research outcomes

PublicationDate of PublicationType
Convex Programming by Tangential Approximation2002-10-22Paper
https://portal.mardi4nfdi.de/entity/Q36686241981-01-01Paper
https://portal.mardi4nfdi.de/entity/Q39312221981-01-01Paper
https://portal.mardi4nfdi.de/entity/Q39390881981-01-01Paper
An exact small sample theory for post-stratification1979-01-01Paper
A Simple 'Synthesis'-Based Method of Variance Component Estimation1978-01-01Paper
https://portal.mardi4nfdi.de/entity/Q41646491977-01-01Paper
https://portal.mardi4nfdi.de/entity/Q41822341977-01-01Paper
https://portal.mardi4nfdi.de/entity/Q40624871975-01-01Paper
A "Super-Population Viewpoint" for Finite Population Sampling1975-01-01Paper
Computerized scheduling of seagoing tankers1974-01-01Paper
Root Estimators1973-01-01Paper
Estimation for Linear Models with Unequal Variances1973-01-01Paper
Two Linear Programming Algorithms for Unbiased Estimation of Linear Models1973-01-01Paper
Computing Maximum Likelihood Estimates for the Mixed A. O. V. Model Using the W Transformation1973-01-01Paper
https://portal.mardi4nfdi.de/entity/Q56748151972-01-01Paper
Quadratic forms in order statistics used as goodness-of-fit criteria1972-01-01Paper
https://portal.mardi4nfdi.de/entity/Q51810971971-01-01Paper
https://portal.mardi4nfdi.de/entity/Q56290741969-01-01Paper
Investigations of the optimality of a confidence region for the parameters of a non-linear regression model1968-01-01Paper
Classification and Estimation in Analysis of Variance Problems1968-01-01Paper
A new estimation theory for sample surveys1968-01-01Paper
Least Squares Fit of Definite Quadratic Forms by Convex Programming1967-01-01Paper
Maximum-likelihood estimation for the mixed analysis of variance model1967-01-01Paper
A Statistical Theory for PERT Critical Path Analysis1966-01-01Paper
Systematic Sampling with Unequal Probability and Without Replacement1966-01-01Paper
https://portal.mardi4nfdi.de/entity/Q55868891966-01-01Paper
Nonlinear Least Squares Estimation1965-01-01Paper
Exact confidence regions for the parameters in non-linear regression laws1964-01-01Paper
Monte Carlo Computations in Normal Correlation Problems1963-01-01Paper
https://portal.mardi4nfdi.de/entity/Q32842211962-01-01Paper
https://portal.mardi4nfdi.de/entity/Q38493571962-01-01Paper
Sampling with Unequal Probabilities and without Replacement1962-01-01Paper
The Modified Gauss-Newton Method for the Fitting of Non-Linear Regression Functions by Least Squares1961-01-01Paper
Nonlinear Programming by the Simplex Method1961-01-01Paper
Design and Estimation in Two-Way Stratification1960-01-01Paper
THE EFFICIENCY OF INTERNAL REGRESSION FOR THE FITTING OF THE EXPONENTIAL REGRESSION1959-01-01Paper
Smallest Composite Designs for Quadratic Response Surfaces1959-01-01Paper
Maximum Likelihood Estimation from Incomplete Data1958-01-01Paper
The Precision of Unbiased Ratio-Type Estimators1958-01-01Paper
A Variance Formula for Marginal Productivity Estimates using the Cobb-Douglas Function1958-01-01Paper
TESTS FOR RANK CORRELATION COEFFICIENTS. I1957-01-01Paper
Power of Analysis of Variance Test Procedures for Certain Incompletely Specified Models, I1956-01-01Paper
Some recent developments in analysis of variance1955-01-01Paper
Universal Bounds for Mean Range and Extreme Observation1954-01-01Paper
THE DISTRIBUTION OF THE RATIO, IN A SINGLE NORMAL SAMPLE, OF RANGE TO STANDARD DEVIATION1954-01-01Paper
SAMPLING WITH CONTROL VARIABLES1954-01-01Paper
A Note on Incomplete Block Designs with Row Balance1953-01-01Paper
https://portal.mardi4nfdi.de/entity/Q58095111952-01-01Paper
https://portal.mardi4nfdi.de/entity/Q58136001952-01-01Paper
CHARTS OF THE POWER FUNCTION FOR ANALYSIS OF VARIANCE TESTS, DERIVED FROM THE NON-CENTRAL F-DISTRIBUTION1951-01-01Paper
Moment constants for the distribution of range in normal samples1951-01-01Paper
A CHART FOR THE INCOMPLETE BETA-FUNCTION AND THE CUMULATIVE BINOMIAL DISTRIBUTION1951-01-01Paper
The Fitting of Polynomials to Equidistant Data with Missing Values1951-01-01Paper
A SIMPLIFIED FORM OF SHEPPARD'S CORRECTION FORMULAE1950-01-01Paper
THE USE OF RANGE IN ANALYSIS OF VARIANCE1950-01-01Paper
TABLE OF THE PROBABILITY INTEGRAL OF THE t-DISTRIBUTION1950-01-01Paper
https://portal.mardi4nfdi.de/entity/Q57990971950-01-01Paper
https://portal.mardi4nfdi.de/entity/Q58025551950-01-01Paper
TESTS OF SIGNIFICANCE IN HARMONIC ANALYSIS1949-01-01Paper
Approximation errors in distributions of independent variates1948-01-01Paper
https://portal.mardi4nfdi.de/entity/Q57914031948-01-01Paper
Approximation errors in distributions of independent variates1948-01-01Paper
A NUMERICAL SOLUTION OF THE PROBLEM OF MOMENTS1947-01-01Paper
https://portal.mardi4nfdi.de/entity/Q58410501946-01-01Paper
TABLES FOR TESTING THE HOMOGENEITY OF A SET OF ESTIMATED VARIANCES1946-01-01Paper
APPENDIX: NOTE ON THE CALCULATION OF THE DISTRIBUTION OF THE ESTIMATE OF MEAN DEVIATION IN NORMAL SAMPLES1945-01-01Paper
https://portal.mardi4nfdi.de/entity/Q58434881944-01-01Paper
https://portal.mardi4nfdi.de/entity/Q58452111943-01-01Paper
THE RANGE IN RANDOM SAMPLES1942-01-01Paper
https://portal.mardi4nfdi.de/entity/Q58452101942-01-01Paper
TABLE OF LAGRANGIAN COEFFICIENTS FOR HARMONIC INTERPOLATION IN CERTAIN TABLES OF PERCENTAGE POINTS1941-01-01Paper
Testing the homogeneity of a set of variances.1940-01-01Paper
TESTING THE HOMOGENEITY OF A SET OF VARIANCES1940-01-01Paper
Recent Advances in Mathematical Statistics1940-01-01Paper
Recent Advances in Mathematical Statistics1939-01-01Paper
Recent advances in mathematical statistics: bibliography of mathematical statistics (1939).1939-01-01Paper
Recent advances in mathematical statistics. Bibliography of mathematical statistics (1937 second half, and 1938).1939-01-01Paper
Studentization and large-sample theory.1938-01-01Paper
https://portal.mardi4nfdi.de/entity/Q57701201938-01-01Paper
The distribution of the ratio of covariance estimates in two samples drawn from normal bivariate populations.1937-01-01Paper
THE DISTRIBUTION OF THE RATIO OF COVARIANCE ESTIMATES IN TWO SAMPLES DRAWN FROM NORMAL BIVARIATE POPULATIONS1937-01-01Paper
A theorem concerning the distribution of joins between line segments.1936-01-01Paper
Continuation of differentiable functions through the plane.1936-01-01Paper
A generalization of Picard's method of successive approximation.1936-01-01Paper
CONTINUATION OF DIFFERENTIABLE FUNCTIONS THROUGH THE PLANE1936-01-01Paper
https://portal.mardi4nfdi.de/entity/Q57611681936-01-01Paper
A Theorem Concerning the Distribution of Joins between Line Segments1936-01-01Paper
A connection between correlation and contingency.1935-01-01Paper
https://portal.mardi4nfdi.de/entity/Q57599021935-01-01Paper
Über eine Transformation von Variations- und Randwertproblemen.1934-01-01Paper
Direkte Methoden der Variationsrechnung zur Lösung von Randwertproblemen.1934-01-01Paper
https://portal.mardi4nfdi.de/entity/Q47572871934-01-01Paper
https://portal.mardi4nfdi.de/entity/Q47585261934-01-01Paper

Research outcomes over time


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