Fitting a multivariate failure time distribution
From MaRDI portal
Publication:3470035
DOI10.1109/24.46460zbMATH Open0694.62051OpenAlexW2118378653MaRDI QIDQ3470035FDOQ3470035
Authors: Philip Hougaard
Publication date: 1989
Published in: IEEE Transactions on Reliability (Search for Journal in Brave)
Full work available at URL: https://doi.org/10.1109/24.46460
censored datadependencerandom effectsexponential distributionextreme value distributioncontinuous multivariate distributionsproportional hazard modelsmultivariate failure time distributiondistributions of minimumsmultivariate Weibull distributions
Cited In (12)
- A bivariate regression model for matched paired survival data: local influence and residual analysis
- Semiparametric estimation for the additive inverse Gaussian frailty model
- Bivariate survival modeling: a Bayesian approach based on copulas
- Multivariate Weibull and Pareto distributions in Hilbert space
- The FGM long-term bivariate survival copula model: modeling, Bayesian estimation, and case influence diagnostics
- General multivariate Weibull processes
- A bivariate regression model with cure fraction
- Multivariate semi-Weibull distributions
- Determination of Software Reliability based on Multivariate Exponential, Lomax and Weibull Models
- A copula model for bivariate hybrid censored survival data with application to the MACS study
- Characterizations of the general multivariate Weibull distributions
- Influence of random effects on bivariate and trivariate survival models
This page was built for publication: Fitting a multivariate failure time distribution
Report a bug (only for logged in users!)Click here to report a bug for this page (MaRDI item Q3470035)