On minimum variance stratification for estimating the mean of a Weibull population
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Publication:4096251
DOI10.1080/03461238.1975.10405099zbMath0331.62026OpenAlexW2068789804MaRDI QIDQ4096251
Khatab M. Hassanein, Warren K. Legler
Publication date: 1975
Published in: Scandinavian Actuarial Journal (Search for Journal in Brave)
Full work available at URL: https://doi.org/10.1080/03461238.1975.10405099
Cites Work
- A note on the optimum spacing of sample quantiles from the six extreme value distributions
- Note on Grouping
- On the Choice of Plotting Positions on Probability Paper
- Estimation of the Shape and Scale Parameters of the Weibull Distribution
- On the Two Different Aspects of the Representative Method: The Method of Stratified Sampling and the Method of Purposive Selection
- Estimation of the parameters of the extreme value distribution by use of two or three order statistics
- Linear Estimates of Parameters in the Extreme Value Distribution
- Analysis of Extreme-Value Data by Sample Quantiles for Very Large Samples
- Percentile estimators for the parameters of the Weibull distribution
- An Approximation Useful in Univariate Stratification
- Two early papers on the relation between extreme values and tensile strength
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