ON THE DISTRIBUTION OF THE ESTIMATE OF MEAN DEVIATION OBTAINED FROM SAMPLES FROM A NORMAL POPULATION
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Publication:5836318
DOI10.1093/biomet/33.3.254zbMath0060.29902OpenAlexW2009760916WikidataQ53055420 ScholiaQ53055420MaRDI QIDQ5836318
Publication date: 1945
Published in: Biometrika (Search for Journal in Brave)
Full work available at URL: https://doi.org/10.1093/biomet/33.3.254
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An estimate of standard deviation of normal population based on the difference between means of two grpups divided by sample mean ⋮ Early sample measures of variability. ⋮ On uses of mean absolute deviation: decomposition, skewness and correlation coefficients ⋮ Expansions for statistics involving the mean absolute deviations ⋮ A consistent estimator for the mean deviation of the Pearson type distribution ⋮ The mean and median absolute deviations ⋮ An asymptotic expansion for a class of multivariate normal integrals
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