Alternative ways for the covariance between sample mean and variance
From MaRDI portal
Publication:2089367
DOI10.1007/S40840-022-01305-0zbMATH Open1496.62036OpenAlexW4289793391MaRDI QIDQ2089367FDOQ2089367
Abdallah Laradji, A. H. Joarder
Publication date: 6 October 2022
Published in: Bulletin of the Malaysian Mathematical Sciences Society. Second Series (Search for Journal in Brave)
Full work available at URL: https://doi.org/10.1007/s40840-022-01305-0
Recommendations
Cites Work
- Title not available (Why is that?)
- Title not available (Why is that?)
- Title not available (Why is that?)
- Student's t-Test Under Symmetry Conditions
- THE PROBABLE ERROR OF A MEAN
- Helmert's Distribution
- On the characterization of the normal population by the independence of the sample mean and the sample variance
- A Characterization of the Normal Distribution
- On the Covariance Between the Sample Mean and Variance
- Title not available (Why is that?)
- Title not available (Why is that?)
Cited In (3)
This page was built for publication: Alternative ways for the covariance between sample mean and variance
Report a bug (only for logged in users!)Click here to report a bug for this page (MaRDI item Q2089367)