THE DISTRIBUTION OF THE INDEX IN A NORMAL BIVARIATE POPULATION
From MaRDI portal
Publication:4334844
DOI10.1093/BIOMET/24.3-4.428zbMATH Open0006.02103OpenAlexW1981313616WikidataQ56455218 ScholiaQ56455218MaRDI QIDQ4334844FDOQ4334844
Authors: E. C. Fieller
Publication date: 1932
Published in: Biometrika (Search for Journal in Brave)
Full work available at URL: https://doi.org/10.1093/biomet/24.3-4.428
Cited In (32)
- Bimodal \(t\)-ratios: the impact of thick tails on inference
- Ratios of linear combinations in the general linear model
- GMM ESTIMATION AND INFERENCE IN DYNAMIC PANEL DATA MODELS WITH PERSISTENT DATA
- Assessing the Precision of Turning Point Estimates in Polynomial Regression Functions
- A simple approximation for the doubly noncentral t-distribution
- The polar confidence curve for a ratio
- An evaluation of statistical methods for aggregate patterns of replication failure
- Distribution of the quotient of noncentral normal random variables
- Two geometric representations of confidence intervals for ratios of linear combinations of regression parameters: an application to the NAIRU
- Density of the Ratio of Two Normal Random Variables and Applications
- Mean and variance of ratios of proportions from categories of a multinomial distribution
- On the derivation of expected value and variance of ratios without the use of infinite series expansions
- Estimating upper confidence bounds for positive ratios of normal random variables
- The Probability Distribution of the Phase of the Resultant Vector Sum of a Constant Vector Plus a Rayleigh Distributed Vector
- The direct integral method for confidence intervals for the ratio of two location parameters
- Multivariate distributions involving ratios of normal variables
- Confidence interval estimation for the changepoint of treatment stratification in the presence of a qualitative covariate-treatment interaction
- Stochastic programs for identifying critical structure collapse mechanisms
- Inference of signaling and gene regulatory networks by steady-state perturbation experiments: structure and accuracy
- Net-benefit regression with censored cost-effectiveness data from randomized or observational studies
- A likelihood-ratio-based normal approximation for the non-null distribution of the multiple correlation coefficient
- On comparison of relative growth rates under different environmental conditions with application to biological data
- Quasi-Monte Carlo and Multilevel Monte Carlo Methods for Computing Posterior Expectations in Elliptic Inverse Problems
- Inferences for the ratio: Fieller's interval, log ratio, and large sample based confidence intervals
- Goodness-of-fit testing for the Gompertz growth curve model
- Confidence Bounds for Positive Ratios of Normal Random Variables
- Inverting the indirect -- the ellipse and the boomerang: visualizing the confidence intervals of the structural coefficient from two-stage least squares
- SEMIPARAMETRIC CONFIDENCE INTERVALS BASED ON ESTIMATING FUNCTIONS
- The distribution of the ratio of two vriables
- Bayesian inferences on nonlinear functions of the parameters in linear regression
- Confidence bounds for multiplicative comparisons
- Binomial models for option valuation - examining and improving convergence
This page was built for publication: THE DISTRIBUTION OF THE INDEX IN A NORMAL BIVARIATE POPULATION
Report a bug (only for logged in users!)Click here to report a bug for this page (MaRDI item Q4334844)