Sampling designs for the estimation of the difference between two means of a bivariate normal
DOI10.1016/0378-3758(89)90078-5zbMath0686.62034OpenAlexW2041859396MaRDI QIDQ1262653
Publication date: 1989
Published in: Journal of Statistical Planning and Inference (Search for Journal in Brave)
Full work available at URL: https://doi.org/10.1016/0378-3758(89)90078-5
asymptotic efficiencysimulation studyoptimal allocationbivariate normalmissing observationestimation of the difference between two normal meansnon zero correlationpairwise samplingSampling designstwo stage sampling procedure
Nonparametric estimation (62G05) Sampling theory, sample surveys (62D05) Sequential statistical design (62L05) Nonparametric inference (62G99)
Cites Work
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- Maximum likelihood estimates for a bivariate normal distribution with missing data
- Maximum Likelihood Estimates for a Multivariate Normal Distribution when some Observations are Missing
- Some Properties and an Application of a Statistic Arising in Testing Correlation
- Estimation Procedures for Difference of Means with Missing Data
- Bayesian Analysis of a Bivariate Normal Distribution with Incomplete Observations
- TWO-STAGE PROCEDURES FOR ESTIMATING THE DIFFERENCE BETWEEN MEANS
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