THE USE OF RANGE IN PLACE OF STANDARD DEVIATION IN THE t-TEST
From MaRDI portal
Publication:5785848
DOI10.1093/BIOMET/34.1-2.41zbMATH Open0030.04001OpenAlexW2033901464WikidataQ83329620 ScholiaQ83329620MaRDI QIDQ5785848FDOQ5785848
Publication date: 1947
Published in: Biometrika (Search for Journal in Brave)
Full work available at URL: https://doi.org/10.1093/biomet/34.1-2.41
Cited In (8)
- Exact expression for the expectation of estimatedCpkbased on control chart information and the corresponding process capability control charts
- Lower Bounds for Percentiles of Pivots from a Sample Mean Standardized by S, the GMD, the MAD, or the Range in a Normal Distribution and Miscellany with Data Analysis
- Inferences on linear combinations of normal means with unknown and unequal variances
- Two-Stage Fixed-Width Confidence Intervals for a Normal Mean in the Presence of Suspect Outliers
- Title not available (Why is that?)
- Title not available (Why is that?)
- How robust are tests for two independent samples?
- Bayesian inference for the mean and standard deviation of a normal population when only the sample size, mean and range are observed
This page was built for publication: THE USE OF RANGE IN PLACE OF STANDARD DEVIATION IN THE t-TEST
Report a bug (only for logged in users!)Click here to report a bug for this page (MaRDI item Q5785848)