| Publication | Date of Publication | Type |
|---|
| Optimal confidence interval for the largest exponential location parameter | 2022-09-14 | Paper |
| Sample size planning with the cost constraint for testing superiority and equivalence of two independent groups | 2018-12-05 | Paper |
| On Testing the Mean Equivalence of Treatments from Correlated Normal Populations | 2016-08-25 | Paper |
| An optimal confidence region for the largest and the smallest means from a multivariate normal distribution | 2016-07-14 | Paper |
| On testing the bioequivalence of several treatments using the measure of distance | 2014-03-12 | Paper |
| https://portal.mardi4nfdi.de/entity/Q5327015 | 2013-08-01 | Paper |
| On testing the equivalence of treatments using the measure of range | 2012-09-15 | Paper |
| A confidence region for the largest and the smallest means under heteroscedasticity | 2012-07-16 | Paper |
| Optimal confidence interval for the largest mean of correlated normal populations and its application to stock fund evaluation | 2009-06-16 | Paper |
| On testing a subset of regression parameters under heteroskedasticity | 2009-06-02 | Paper |
| Erratum to: The optimal confidence interval for the largest normal mean with unknown variance | 2009-05-29 | Paper |
| Optimal confidence interval for the largest normal mean under heteroscedasticity | 2009-04-06 | Paper |
| A Studentized range test for the equivalency of normal means under heteroscedasticity | 2009-04-06 | Paper |
| Optimal confidence interval for the largest normal mean with unknown variance | 2008-11-26 | Paper |
| A Range Test for the Equality of Means when Variances are Unequal | 2004-09-06 | Paper |
| A One-Stage Procedure for Testing Homogeneity of Means Against an Ordered Alternative Under Unequal Variances | 2004-03-07 | Paper |
| A Range Test for the Equivalency of Means under Unequal Variances | 2002-07-30 | Paper |
| Single-stage analysis of variance under heteroscedasticity | 2000-11-05 | Paper |
| Two-stage multiple comparisons with the average for normal distributions under heteroscedasticity | 2000-08-21 | Paper |
| A note on the determination of sample sizes for hypergeometric distributions | 2000-06-14 | Paper |
| Multiple comparison procedures with the average for scale families: normal and exponential populations | 1999-06-30 | Paper |
| A nearly optimal confidence interval for the largest normal mean | 1999-06-10 | Paper |
| Multiple Comparisons with the Average for Normal Distributions | 1999-04-29 | Paper |
| Lower percentage points of hartley's extremal quotient statistic and their applications | 1998-11-15 | Paper |
| Multiple comparison procedures with the average for exponential location parameters. | 1998-08-13 | Paper |
| https://portal.mardi4nfdi.de/entity/Q4385897 | 1998-04-20 | Paper |
| On using hartley's statistic to test the hypothesis of not much difference among normal variances | 1995-11-14 | Paper |
| Single-Stage Multiple Comparison Procedures Under Heteroscedasticity | 1995-01-19 | Paper |
| Procedures for Simultaneous Estimation & Selection of the Best Population with a Preliminary Test | 1994-03-14 | Paper |
| https://portal.mardi4nfdi.de/entity/Q3137052 | 1993-11-04 | Paper |
| https://portal.mardi4nfdi.de/entity/Q4694376 | 1993-06-29 | Paper |
| https://portal.mardi4nfdi.de/entity/Q4694374 | 1993-06-29 | Paper |
| Percentage points of a studentized range statistic arising from non-identical normal random variables | 1993-01-16 | Paper |
| Simultaneous upper confidence bounds for distances from the best two-parameter exponentlal distribution | 1989-01-01 | Paper |
| Single-stage interval estimation of the largest normal mean under heteroscedasnoty | 1989-01-01 | Paper |
| Selection of the Best Exponential Distribution with a Preliminary Test | 1986-01-01 | Paper |
| A Simulation Analysis for Ranking and Selecting the Best Combination of Production and Accounting Control Systems | 1986-01-01 | Paper |
| https://portal.mardi4nfdi.de/entity/Q3706324 | 1985-01-01 | Paper |
| Selecting all treatments better than a control with a binomial prior distribution | 1985-01-01 | Paper |
| Selecting all treatments better than a control under a multivariate normal distribution and a uniform prior distribution | 1984-01-01 | Paper |
| https://portal.mardi4nfdi.de/entity/Q3730786 | 1984-01-01 | Paper |
| A class of confidence intervals for the largest component mean of a multivariate normal population | 1982-01-01 | Paper |
| On selecting a subset which contains all populations better than a control | 1980-01-01 | Paper |
| Optimal confidence interval for the largest mean in repeated measurements design | 1980-01-01 | Paper |
| Percentage Points of Multivariate t Distribution with Zero Correlations and their Application | 1979-01-01 | Paper |
| Confidence intervals for the largest mean from k correlated normal populations | 1978-01-01 | Paper |
| On approximations to the inverse student’s-tdistribution function | 1978-01-01 | Paper |
| Estimation of ordered parameters fromk stochastically increasing distributions | 1977-01-01 | Paper |
| A class of fixed-width confidence intervals for a ranked normal mean | 1977-01-01 | Paper |
| Tables of Percentage Points for Interval Estimation of a Ranked Normal Mean with Known Variances | 1977-01-01 | Paper |
| NON-EXISTENCE OF AN EXACT β-CONFIDENCE INTERVAL FOR A SCALE PARAMETER* | 1977-01-01 | Paper |
| https://portal.mardi4nfdi.de/entity/Q3049674 | 1976-01-01 | Paper |
| Procedures for Fixed-Width Interval Estimation of the Largest Normal Mean | 1976-01-01 | Paper |
| https://portal.mardi4nfdi.de/entity/Q4197178 | 1976-01-01 | Paper |
| New Tables for Multiple Comparisons With a Control (Unknown Variances) | 1975-01-01 | Paper |
| A table for interval estimation of the largest mean ofk normal populations | 1975-01-01 | Paper |