Nitis Mukhopadhyay

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List of research outcomes





PublicationDate of PublicationType
Multi-stage minimum risk point estimation (MRPE) of a function of unknown \(\beta\) in a gamma \((\alpha,\beta)\) model with \(\alpha\) known: related problems and illustrations with analysis from simulations and cancer data2025-01-22Paper
A personal celebration of Dr. D. Basu with emphasis on examples-counterexamples-clarifications2024-12-05Paper
Second-order (s.o.) multi-stage fixed-width confidence interval (FWCI) estimation strategies for comparing location parameters from two negative exponential (NE) populations: illustrations with cancer data2024-08-29Paper
Theory and practice of second-order expansions for moments of 100 ρ  % accelerated sequential stopping times in parametric and nonparametric estimation with arbitrary fractional ρ2024-07-11Paper
Second-order asymptotics for comparing treatment means from purely sequential estimation strategies under possible outlying observations2024-06-19Paper
Distribution-free minimum risk point estimation of the mean under powered absolute error loss plus cost of sampling: Illustrations with cancer data2024-05-17Paper
Multi-stage minimum risk point estimation strategies for comparing the locations from two negative exponential models and second-order asymptotics: illustrations with simulated data and bone marrow transplant data2024-05-14Paper
A general theory of three-stage estimation strategy with second-order asymptotics and its applications2023-08-21Paper
Theory of new second-order expansions for the moments of \({100\rho \%}\) accelerated sequential stopping times in normal mean estimation problems when \({0<\rho <1}\) is arbitrary2023-07-25Paper
Letter to the Editor: Griffith, Daniel A. (2013), "Better Articulating Normal Curve for Introductory Mathematical Statistics Students: Power Transformations," The American Statistician, 67, 157-1692023-02-15Paper
Warr, R. L. and Erich, R. A. (2013), “Should the Interquartile Range Divided by the Standard Deviation be Used to Assess Normality?,”The American Statistician,67, 242–244: Comment by Mukhopadhyay and Reply2023-02-15Paper
Lower Bounds for Percentiles of Pivots from a Sample Mean Standardized by S, the GMD, the MAD, or the Range in a Normal Distribution and Miscellany with Data Analysis2022-11-29Paper
Pairwise Independence May Not Imply Independence: New Illustrations and a Generalization2022-11-18Paper
An optimal purely sequential strategy with asymptotic second-order properties: Applications from statistical inference and data analysis2022-10-06Paper
A new formulation of minimum risk fixed-width confidence interval (MRFWCI) estimation problems for a normal mean with illustrations and simulations: Applications to air quality data2022-07-19Paper
An unusual application of Cramér-Rao inequality to prove the attainable lower bound for a ratio of complicated gamma functions2022-01-07Paper
Minimum risk point estimation for a function of a normal mean under weighted power absolute error loss plus cost: First-order and second-order asymptotics2021-11-25Paper
Purely sequential point estimation of a function of the mean in an exponential distribution2021-11-09Paper
On rereading Stein's lemma: its intrinsic connection with Cramér-Rao identity and some new identities2021-11-09Paper
Numerical versus asymptotic sequential interval estimation of population sizes2021-07-29Paper
EDA on the asymptotic normality of the standardized sequential stopping times, Part-II: Distribution-free models2021-03-09Paper
Purely sequential estimation problems for the mean of a normal population by sampling in groups under permutations within each group and illustrations2021-03-09Paper
Purely sequential FWCI and MRPE problems for the mean of a normal population by sampling in groups with illustrations using breast cancer data2021-03-02Paper
Minimum risk point estimation (MRPE) of the mean in an exponential distribution under powered absolute error loss (PAEL) due to estimation plus cost of sampling2021-03-02Paper
On general asymptotically second-order efficient purely sequential fixed-width confidence interval (FWCI) and minimum risk point estimation (MRPE) strategies for a normal mean and optimality2021-01-26Paper
Constructions of new classes of one- and two-sample nonparametric location tests2020-05-04Paper
Sequential minimum risk point estimation (MRPE) methodology for a normal mean under Linex loss plus sampling cost: First-order and second-order asymptotics2020-02-10Paper
A general theory of purely sequential minimum risk point estimation (MRPE) of a function of the mean in a normal distribution2020-02-10Paper
Renewed looks at the distribution of a sum of independent or dependent discrete random variables and related problems2020-01-13Paper
Second-order asymptotics in a class of purely sequential minimum risk point estimation (MRPE) methodologies2019-10-18Paper
Modified Linex two-stage and purely sequential estimation of the variance in a normal distribution with illustrations using horticultural data2019-08-27Paper
Two-stage fixed-width and bounded-width confidence interval estimation methodologies for the common correlation in an equi-correlated multivariate normal distribution2019-08-07Paper
Two-sample two-stage and purely sequential methodologies for tests of hypotheses with applications: comparing normal means when the two variances are unknown and unequal2019-05-28Paper
Sequentially estimating the required optimal observed number of tagged items with bounded risk in the recapture phase under inverse binomial sampling2019-04-29Paper
EDA on the asymptotic normality of the standardized sequential stopping times, Part-I: Parametric models2019-04-29Paper
Sequential negative binomial problems and statistical ecology: a selected review with new directions2019-03-13Paper
Independent ratios \(X/Z\), \(Y/Z\) when \(X\), \(Y\) are (in)dependent but \((X,Y)\), \(Z\) are dependent2019-03-13Paper
Multiple crossing sequential fixed-size confidence region methodologies for a multivariate normal mean vector2019-03-13Paper
Ratios \(X/Z\), \(Y/Z\) built from independent random variables \((X,Y)\) and \(Z\) may not always be dependent2019-01-14Paper
Two-stage estimation for a normal mean having a known lower bound of variance with final sample size defined via Gini’s mean difference and mean absolute deviation2018-10-22Paper
A conversation with Lynne Billard2018-10-02Paper
Purely sequential bounded-risk point estimation of the negative binomial mean under various loss functions: one-sample problem2018-09-25Paper
Purely Sequential and Two-Stage Bounded-Length Confidence Interval Estimation Problems in Fisher’s “Nile” Example2018-08-08Paper
Two-stage procedures for the bounded risk point estimation of the parameter and hazard rate in two families of distributions2018-05-03Paper
Purely sequential bounded-risk point estimation of the negative binomial means under various loss functions: Multi-sample problems2018-02-19Paper
Confidence intervals and point estimators for a normal mean under purely sequential strategies involving Gini’s mean difference and mean absolute deviation2017-09-27Paper
Stirling's formula for gamma functions, bounds for ratios of gamma functions, beta functions and percentiles of a studentized sample mean: a synthesis with new results2017-09-18Paper
MLE, information, ancillary complement, and conditional inference with illustrations2017-08-14Paper
On fixed-accuracy and bounded accuracy confidence interval estimation problems in Fisher’s “Nile” example2017-02-01Paper
Nonparametric partially random sequential test under Phase II sampling: An illustration to monitor water samples for arsenic contamination2017-02-01Paper
Multistage estimation of the difference of locations of two negative exponential populations under a modified Linex loss function: Real data illustrations from cancer studies and reliability analysis2016-10-28Paper
Multistage point estimation methodologies for a negative exponential location under a modified linex loss function: Illustrations with infant mortality and bone marrow data2016-08-25Paper
A conversation with Kanti Mardia. I.2016-05-30Paper
A general sequential fixed-accuracy confidence interval estimation methodology for a positive parameter: illustrations using health and safety data2016-05-20Paper
Purely Sequential and Two-Stage Bounded-Length Confidence Intervals for the Bernoulli Parameter with Illustrations from Health Studies and Ecology2016-05-17Paper
Confidence Interval Estimation Following SPRT in a Normal Distribution with Equal Mean and Variance2016-02-24Paper
Fixed Accuracy Interval Estimation of the Common Variance in an Equi-Correlated Normal Distribution2015-10-20Paper
Squares of non-standard-normal or non-Student's-\(t_1\) RVs which have chi-square1 or \(F_{1,1}\) distributions: a return visit2015-09-23Paper
On rereading D. Basu's jointly sufficient statistic example made up of two ancillaries and miscellany2015-02-23Paper
Fisher information, sufficiency, and ancillarity: some clarifications2014-12-03Paper
Purely Sequential and Two-Stage Fixed-Accuracy Confidence Interval Estimation Methods for Count Data from Negative Binomial Distributions in Statistical Ecology: One-Sample and Two-Sample Problems2014-07-10Paper
Plug-In Two-Stage and Sequential Normal Density Estimation Under MISE Loss: Both Mean and Variance are Unknown2014-07-10Paper
Discussion on “Sequential Estimation for Time Series Models” by T. N. Sriram and Ross Iaci2014-07-10Paper
Asymptotic expansion of the percentiles for a sample mean standardized by GMD in a normal case with applications2013-11-19Paper
On a new interpretation of the sample variance2013-08-02Paper
Two-Stage Fixed-Width Confidence Intervals for a Normal Mean in the Presence of Suspect Outliers2013-05-30Paper
Sequential Fixed-Width Confidence Interval Procedures for the Mean Under Multiple Boundary Crossings2013-04-22Paper
Examples of non-normal observations for which a Studentized sample mean has a Student's \(t\)-distribution2013-04-03Paper
https://portal.mardi4nfdi.de/entity/Q49046662013-01-31Paper
On two-stage comparisons with a control under heteroscedastic normal distributions2013-01-11Paper
https://portal.mardi4nfdi.de/entity/Q31658912012-10-19Paper
Theory and applications of a new methodology for the random sequential probability ratio test2012-10-19Paper
A discussion on ``Detection of intrusions in information systems by sequential change-point methods by Tartakovsky, Rozovskii, Blažek, and Kim2012-10-19Paper
Nearly Optimal Change-Point Detection with an Application to Cybersecurity2012-10-19Paper
A conversation with Ulf Grenander2012-09-01Paper
On SPRT and RSPRT for the Unknown Mean in a Normal Distribution with Equal Mean and Variance2012-04-21Paper
On MP test and the MVUEs in a \(N(\theta, c\theta)\) distribution with \(\theta\) unknown: illustrations and applications2012-04-04Paper
Discussion on “Two-Stage Procedures for High-Dimensional Data” by Makoto Aoshima and Kazuyoshi Yata2011-12-28Paper
On a Sequential Probability Ratio Test Subject to Incomplete Data2011-12-28Paper
Two-Stage Procedures for Estimating the Difference of Means when the Sampling Cost is Different2011-06-20Paper
On Sharp Jensen's Inequality and Some Unusual Applications2011-06-10Paper
On the Covariance Between the Sample Mean and Variance2011-06-10Paper
Discussion on “Quickest Detection Problems: Fifty Years Later” by Albert N. Shiryaev2011-01-13Paper
A convolution identity and more with illustrations2010-12-20Paper
On a sharper lower bound for a percentile of a Student's \(t\) distribution with an application2010-11-22Paper
On asymptotic and strict monotonicity of a sharper lower bound for Student's \(t\) percentiles2010-11-22Paper
When Finiteness Matters: Counterexamples to Notions of Covariance, Correlation, and Independence2010-10-11Paper
A Note on Minimum Variance Unbiased Estimation2010-08-19Paper
Stirling's Formula and Its Extensions: Heuristic Approaches2010-06-08Paper
On Two-Stage Selection of the Best Negative Exponential Population with Applications2010-05-14Paper
Discussion on “Life and Work of Bhaskar Kumar Ghosh” by Pranab Kumar Sen2010-03-17Paper
On Two-Stage Confidence Interval Procedures and Their Comparisons for Estimating the Difference of Normal Means2010-03-17Paper
On Exact and Asymptotic Properties of Two-Stage and Sequential Estimation of the Normal Mean Under LINEX Loss2009-11-16Paper
A Glimpse at the Career of Professor Shelemyahu Zacks2009-11-16Paper
On \(p\times 1\) dependent random variables having each \((p - 1)\times 1\) sub-vector made up of iid observations with examples2009-07-24Paper
Plug-In Two-Stage Normal Density Estimation Under MISE Loss: Unknown Variance2009-06-02Paper
Sequential Methods and Their Applications2008-11-05Paper
Distributions of Sequential and Two-Stage Stopping Times for Fixed-Width Confidence Intervals in Bernoulli Trials: Application in Reliability2007-12-10Paper
Bounded risk estimation of linear combinations of the location and scale parameters in exponential distributions under two-stage sampling2007-10-04Paper
A nonparametric accelerated sequential procedure for selecting the largest center of symmetry2007-04-16Paper
Discussion on “Sequential Design and Estimation in Heteroscedastic Nonparametric Regression” by Sam Efromovich2007-03-21Paper
Bounded Risk Estimation of the Exponential Parameter in a Two-Stage Sampling2007-02-14Paper
A conversation with Shelemyahu Zacks2006-09-22Paper
Exact Risks of Sequential Point Estimators of the Exponential Parameter2006-07-13Paper
A Personal Tribute to Milton Sobel: Selecting the Best Treatment2006-07-13Paper
Some Comments on Hassairi et al.'s “Implicit Distributions and Estimation”2006-04-19Paper
Exact Bounded Risk Estimation When the Terminal Sample Size and Estimator Are Dependent: The Exponential Case2006-03-29Paper
https://portal.mardi4nfdi.de/entity/Q33779372006-03-29Paper
Estimating Perception of Distance : Applied Sequential Methodologies in Experimental Psychology2006-03-17Paper
https://portal.mardi4nfdi.de/entity/Q33741442006-03-09Paper
https://portal.mardi4nfdi.de/entity/Q33741492006-03-09Paper
A New Approach to Determine the Pilot Sample Size in Two-Stage Sampling2005-07-18Paper
Two-Stage Estimation of Mean in a Negative Binomial Distribution with Applications to Mexican Bean Beetle Data2005-05-23Paper
On Some One-Parameter Families Where Maximal Invariants Do Not Distinguish Hypothesized Models2005-05-23Paper
https://portal.mardi4nfdi.de/entity/Q46723852005-04-29Paper
Applications of Sequentially Estimating the Mean in a Normal Distribution Having Equal Mean and Variance2005-01-18Paper
Celebrating Abraham Wald's Birth Centenary2005-01-18Paper
Percentage points of the largest among Student's \(T\) random variable2004-08-10Paper
TWO-STAGE ESTIMATION OF A LINEAR FUNCTION OF NORMAL MEANS WITH SECOND-ORDER APPROXIMATIONS2004-03-04Paper
Multi-step Sequential and Accelerated Sequential Methodologies for a Replicable Linear Model2003-09-14Paper
A conversation with Kanti Mardia2003-07-27Paper
Multistage methodologies for comparing several treatments with a control2002-05-23Paper
Accelerated sequential shrinkage estimation2002-04-07Paper
Multivariate multistage methodologies for simultaneous all pairwise comparisons.2002-01-29Paper
A two-stage point estimation procedure for the mean of an exponential distribution and second-order results2001-09-17Paper
Higher than second-order approximations via two-stage sampling.2001-09-11Paper
A conversation with Sujit Kumar Mitra2001-02-07Paper
https://portal.mardi4nfdi.de/entity/Q44858082000-06-19Paper
https://portal.mardi4nfdi.de/entity/Q44858112000-06-19Paper
Multistage methodologies for fixed-width simultaneous confidence intervals for all pairwise comparisons2000-02-21Paper
On sequential fixed-width confidence intervals for the mean and second-order expansions of the associated coverage probabilities1999-11-22Paper
Second-order properties of a two-stage fixed-size confidence region when the covariance matrix has a structure1999-07-07Paper
A Look at Piecewise Sequential Sampling Under Allocation1999-04-11Paper
On a two-stage procedure having second-order properties with applications1999-01-01Paper
Second-order properties of a two-stage fixed-size confidence region for the mean vector of a multivariate normal distribution1999-01-01Paper
A robust methodology for selecting the smaller variance1999-01-01Paper
Fixed-width simultaneous confidence intervals for multinormal means in several intraclass correlation models1998-11-25Paper
An overview of sequential nonparametric density estimation1998-08-16Paper
https://portal.mardi4nfdi.de/entity/Q43858131998-05-25Paper
Multistage partial piecewise sampling and its applications1998-04-13Paper
On estimating the reliability after sequentially estimating the mean: The exponential case1998-01-22Paper
https://portal.mardi4nfdi.de/entity/Q42516041998-01-01Paper
Estimation after sequential selection and ranking1997-11-23Paper
An alternative formulation of accelerated sequential procedures with applications to parametric and nonparametric estimation1997-07-03Paper
https://portal.mardi4nfdi.de/entity/Q47185861997-03-18Paper
https://portal.mardi4nfdi.de/entity/Q49442511997-01-01Paper
Sequential estimation of means of linear processes1996-09-01Paper
https://portal.mardi4nfdi.de/entity/Q48644511996-09-01Paper
https://portal.mardi4nfdi.de/entity/Q48540281996-03-20Paper
Second—order approximations in the time—sequential point estimation methodologies for the mean of an exponential Distribution1996-03-20Paper
Sequential interval estimation via replicated piecewise stopping times and accelerated stopping times in a class of two-parameter exponential family of distributions1996-03-11Paper
Multistage subset selection procedures for normal populations and associated second-order asymptotics1996-01-02Paper
https://portal.mardi4nfdi.de/entity/Q48506551995-12-13Paper
Comparing exponential clinical trials by combining individual sequential experiments available from independent studies1995-12-11Paper
A note on accelerated sequential estimation of the mean of NEF-PVF distributions1995-08-23Paper
Improved sequential estimation of means of exponential distributions1995-08-21Paper
https://portal.mardi4nfdi.de/entity/Q43263951995-03-19Paper
https://portal.mardi4nfdi.de/entity/Q43116101995-02-16Paper
https://portal.mardi4nfdi.de/entity/Q43179421995-02-16Paper
https://portal.mardi4nfdi.de/entity/Q43116161995-01-24Paper
Replicated piecewise multistage sampling with applications1994-10-30Paper
On the admissibility of some sequential confidence intervals for the negative exponential location parameter1994-07-07Paper
Sequential estimation via replicated piecewise stopping number in a tow—parameter exponential family of distributions1994-07-07Paper
Simultaneous Estimation of Proportions in a Finite Population1994-04-12Paper
Replicated piecewise stopping numbers and sequential analysis1993-11-24Paper
Three-Stage Procedures for Selecting the Largest Normal Mean1993-10-18Paper
Sequential sampling methodologies for comparing strata means1993-10-11Paper
A note on three-stage confidence intervals for the difference of locations: The exponential case1993-06-29Paper
Accelerated sequential procedure for selecting the best exponential population1993-01-16Paper
On sequential comparisons of means of first-order autoregressive models1992-09-27Paper
Accelerated sequential procedure for selecting the largest mean1992-09-27Paper
Improved sequential and accelerated sequential Procedures for estimating the scale parameter in a aniform distribution1992-06-28Paper
Multi‐Stage Estimation Procedures for the Mean OE A U‐Statistic and Some Associated Moderate Sample Size Comparisons1992-06-28Paper
https://portal.mardi4nfdi.de/entity/Q39898131992-06-28Paper
Sequential methodologies for comparing exponential mean survival times1992-06-28Paper
https://portal.mardi4nfdi.de/entity/Q39795661992-06-26Paper
Second order properties of accelerated stopping times with applications in sequential estimation1991-01-01Paper
https://portal.mardi4nfdi.de/entity/Q33498161990-01-01Paper
Multi-stage point and interval estimation of the largest mean of k normal populations and the associated second-order properties1990-01-01Paper
Point estimation of the largest location of k negative exponential populations1990-01-01Paper
A note on a permutation invariant sequential selection procedure1990-01-01Paper
https://portal.mardi4nfdi.de/entity/Q31987421989-01-01Paper
Stopping rules, permutation invariance and sufficiency principle1989-01-01Paper
Sequential estimation of a linear function of mean vectors1989-01-01Paper
https://portal.mardi4nfdi.de/entity/Q34892201989-01-01Paper
Triple sampling to construct fixed-width confidence intervals for estimable parameters based on U-statistics1988-01-01Paper
Sequential estimation problems for negative exponential populations1988-01-01Paper
Triple stage point estimation for the exponential location parameter1988-01-01Paper
Sequential estimation of the difference of means of two negative exponential populations1988-01-01Paper
Simultaneous estimation after selection and ranking and other procedures: The negative exponential case1988-01-01Paper
Convergence rates for two-stage confidence intervals based on U- statistics1988-01-01Paper
Fixed Precision Estimation of a Positive Location Parameter of a Negative Exponential Population1988-01-01Paper
Bounded risk estimation of a finite population mean optimal strategies1988-01-01Paper
Fixed-width interval estimation of the largest location of k negative exponential populations1988-01-01Paper
Three-stage estimation procedures for the negative exponential distributions1987-01-01Paper
Three-Stage point Estimation Procedures For a Normal Mean1987-01-01Paper
Three-stage procedures for selecting the best exponential population1987-01-01Paper
https://portal.mardi4nfdi.de/entity/Q37826201987-01-01Paper
Sequential estimation problems for the scale parameter of a Pareto distribution1987-01-01Paper
https://portal.mardi4nfdi.de/entity/Q37904951987-01-01Paper
On fixed-size confidence regions for the regression parameters1986-01-01Paper
Fixed–size confidence regions for the mean vector of a multinormal distribution1986-01-01Paper
Fixed size confidence regions for the difference of the means of two multinormal populations1986-01-01Paper
https://portal.mardi4nfdi.de/entity/Q37451011986-01-01Paper
Sequential simultaneous estimation of the mean and variance: The rate of convergence1986-01-01Paper
A note on three-stage and sequential point estimation puocedures for a normal mean1985-01-01Paper
Asymptotic results for stopping times based on u-statistics1985-01-01Paper
Asymptotic considerations for selecting the best component of a multivariate normal population1985-01-01Paper
On estimating the difference of location parameters of two negative exponential distributions1984-01-01Paper
Sequential and two-stage procedures for selecting the better exponential population covering the case of unknown and unequal scale parameters1984-01-01Paper
https://portal.mardi4nfdi.de/entity/Q37253261984-01-01Paper
https://portal.mardi4nfdi.de/entity/Q37253281984-01-01Paper
Nonparametric Two-Sample Sequential Problems for Truncation Parameters of Unknown Distributions1984-01-01Paper
https://portal.mardi4nfdi.de/entity/Q37096941983-01-01Paper
https://portal.mardi4nfdi.de/entity/Q36753231983-01-01Paper
Sequential and two-stage point estimation for the range in a power family distribution1983-01-01Paper
https://portal.mardi4nfdi.de/entity/Q33320731983-01-01Paper
Stein's two-stage procedure and exact consistency1982-01-01Paper
On the Asymptotic Regret While Estimating the Location of an Exponential Distribution1982-01-01Paper
Optimal sequential estimation procedures for the normal mean when the variance is known1982-01-01Paper
Selecting the smallest normal variance through the comparisons of several likelihoods1982-01-01Paper
https://portal.mardi4nfdi.de/entity/Q47474181981-01-01Paper
Sequential approach to simultaneous estimation of the mean and variance1981-01-01Paper
Convergence rates of sequential confidence intervals and tests for the mean of a u-statistic1981-01-01Paper
https://portal.mardi4nfdi.de/entity/Q36634601981-01-01Paper
A consistent and asymptotically efficient two-stage procedure to construct fixed width confidence intervals for the mean1980-01-01Paper
Sequential point estimation of the difference of two normal means1980-01-01Paper
Sequential procedures in identification1980-01-01Paper
Sequential point estimation of the mean when the distribution is unspecified1979-01-01Paper
Some comments on two-stage selection procedures1979-01-01Paper
Fixed Size Simultaneous Confidence Region for Mean Vector and Dispersion of a Multinormal Distribution1979-01-01Paper
Remarks on sequential estimation of a linear function of two means: the normal case1977-01-01Paper
Sequential Estimation of a Linear Function of Means of Three Normal Populations1976-01-01Paper
Multivariate sequential point estimation1976-01-01Paper
https://portal.mardi4nfdi.de/entity/Q41972311976-01-01Paper
https://portal.mardi4nfdi.de/entity/Q41972321976-01-01Paper
Sequential Point Estimation of the Parameter of a Rectangular Distribution1975-01-01Paper
Almost sure convergence of sums of maxima and minima of positive random variables1975-01-01Paper
Sequential Estimation of Location Parameter in Exponential Distributions1974-01-01Paper
Some Results on Sequential Prediction1974-01-01Paper

Research outcomes over time

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