Optimal allocation for estimating the mean of a bivariate polynomial
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Publication:4351743
DOI10.1080/07474949608836353zbMath0880.62079OpenAlexW2160854108MaRDI QIDQ4351743
Quentin F. Stout, Janis P. Hardwick
Publication date: 5 February 1998
Published in: Sequential Analysis (Search for Journal in Brave)
Full work available at URL: https://doi.org/10.1080/07474949608836353
robustnessdynamic programmingproductfault tolerancenonlinear estimationforward inductionadaptive allocationmyopichyperopic
Bayesian problems; characterization of Bayes procedures (62C10) Applications of mathematical programming (90C90) Sequential statistical design (62L05)
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Two-Armed Bandit Strategies that Discount Past and Future ⋮ An allocation scheme for estimating the reliability of a parallel-series system ⋮ Nearly second order three-stage design for estimating a product of several Bernoulli proportions ⋮ Bayesian sequential estimation of the reliability of a parallel-series system ⋮ Optimal few-stage designs
Cites Work
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- Allocation Schemes for Estimating the Product of Positive Parameters
- Optimal Sampling Schemes for Estimating System Reliability by Testing Components--1: Fixed Sample Sizes
- A sampling scheme for estimating the reliability of a series system
- Optimal Experimental Design for Another's Analysis
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