Prediction intervals for a balanced one-way random-effects model
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Publication:4038784
Cites work
- A Prediction Interval on the Difference between Two Future Sample Means and Its Application to a Claim of Product Superiority
- Additional Factors for Calculating Prediction Intervals for Samples from a Normal Distribution
- Confidence Intervals and Bounds for a Ratio of Summed Expected Mean Squares
- Factors for One-Sided Tolerance Limits for Balanced One-Way-ANOVA Random-Effects Model
- One-Sided Prediction Intervals for at Least p out of m Future Observations from a Normal Population
- Prediction Intervals for the Ratios of Normal Distribution Sample Variances and Exponential Distribution Sample Means
- Simultaneous Prediction Intervals to Contain the Standard Deviations or Ranges of Future Samples from a Normal Distribution
- Two-Sided Prediction Intervals to Contain at Least k out of m Future Observations from a Normal Distribution
- β-Expectation and β-Content Tolerance Limits for Balanced One-Way ANOVA Random Model
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