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A Single-Sample Procedure for the Estimation of the Largest Mean

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Publication:4098505
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DOI10.2307/2285758zbMATH Open0332.62032OpenAlexW4231644965MaRDI QIDQ4098505FDOQ4098505


Authors: K. M. Lal Saxena Edit this on Wikidata


Publication date: 1976


Full work available at URL: https://doi.org/10.2307/2285758





Mathematics Subject Classification ID

Point estimation (62F10) Parametric tolerance and confidence regions (62F25)



Cited In (8)

  • A nearly optimal confidence interval for the largest normal mean
  • A confidence region for the largest and the smallest means under heteroscedasticity
  • Confidence intervals for the means of the selected populations
  • Optimal confidence interval for the largest normal mean with unknown variance
  • Optimal confidence interval for the largest normal mean under heteroscedasticity
  • Optimal confidence interval for the largest exponential location parameter
  • Optimal confidence interval for the largest mean of correlated normal populations and its application to stock fund evaluation
  • Single-stage interval estimation of the largest normal mean under heteroscedasnoty





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