A note on variability of interval data
DOI10.1007/S00180-009-0166-8zbMATH Open1224.65017OpenAlexW1986796242MaRDI QIDQ626264FDOQ626264
Authors: Jaromír Antoch, Miroslav Brzezina, Rafaelle Miele
Publication date: 22 February 2011
Published in: Computational Statistics (Search for Journal in Brave)
Full work available at URL: https://doi.org/10.1007/s00180-009-0166-8
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Computational methods for problems pertaining to statistics (62-08) Numerical mathematical programming methods (65K05) Quadratic programming (90C20) Analysis of variance and covariance (ANOVA) (62J10) Linear programming (90C05)
Cites Work
- Principal component analysis on interval data
- Towards combining probabilistic and interval uncertainty in engineering calculations: algorithms for computing statistics under interval uncertainty, and their computational complexity
- Computing best-possible bounds for the distribution of a sum of several variables is NP-hard
Cited In (8)
- On Central Tendency and Dispersion Measures for Intervals and Hypercubes
- Computing the variance of interval and fuzzy data
- Testing the variability of interval data: an application to tidal fluctuation
- Estimating sample mean under interval uncertainty and constraint on sample variance
- The NP-hard problem of computing the maximal sample variance over interval data is solvable in almost linear time with a high probability
- Exact bounds on finite populations of interval data
- Population variance under interval uncertainty: a new algorithm
- Descriptive statistics for interval-valued observations in the presence of rules
Uses Software
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