A two-stage procedure for estimating the difference between the mean vectors of two multivariate normal distributions
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Publication:3214169
DOI10.1007/BF03013760zbMath0271.62070MaRDI QIDQ3214169
Vijay K. Rohatgi, R. T. O'Neill
Publication date: 1973
Published in: Trabajos de estadistica y de investigacion operativa (Search for Journal in Brave)
Related Items (4)
Three-stage and ‘accelerated’ sequential procedures for the mean of a normal population with known coefficient of variation ⋮ Two stage fixed width confidence intervals for the common location parameter of several exponential distributins ⋮ Multi-stage point estimation of the mean of an inverse Gaussian distribution ⋮ Multi-stage procedures for the minimum risk and bounded risk point estimation of the location of negative exponential distribution under the modified LINEX loss function
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