G. A. Baker

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Person:568989

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zbMath Open baker.george-allenMaRDI QIDQ568989

List of research outcomes

PublicationDate of PublicationType
Empiric Investigation of a Test of Homogeneity for Populations Composed of Normal Distributions1958-01-01Paper
The effects of wide groupings on the distributions of array means and variances for correlated normal variables1956-01-01Paper
The effect of selection on linear functions of normally distributed correlated variables on the distributions of other linear functions1954-01-01Paper
Uniformity Field Trials when Differences in Fertility Levels of Subplots are not Included in Experimental Error1952-01-01Paper
The Variance of the Proportions of Samples Falling within a Fixed Interval for a Normal Population1949-01-01Paper
Distribution of the Ratio of Sample Range to Sample Standard Deviation for Normal and Combinations of Normal Distributions1946-01-01Paper
Correlations Between Functions of Variables1942-01-01Paper
Computational savings in routine comparisons of the means of correlated observations.1941-01-01Paper
Test of homogeneity for normal populations.1941-01-01Paper
Test of Homogeneity for Normal Populations1941-01-01Paper
Linear Regression When the Standard Deviations of Arrays are Not All Equal1941-01-01Paper
Maximum likelihood estimation of the ratio of the components of non-homogeneous populations.1940-01-01Paper
Comparison of Pearsonian approximations with exact sampling distributions of means and variances in samples from populations composed of the sums of normal populations.1940-01-01Paper
Comparison of Pearsonian Approximations with Exact Sampling Distributions of Means and Variances in Samples from Populations Composed of the Sums of Normal Populations1940-01-01Paper
https://portal.mardi4nfdi.de/entity/Q57783751940-01-01Paper
The probability that the standard deviation of a second sample will differ from the standard deviation of a first sample by a certain multiple of the standard deviation of the first sample.1938-01-01Paper
The probability that the standard deviation of a second sample will differ from the standard deviation of a first sample by a certain multiple of the standard deviation of the first sample1938-01-01Paper
Correlation Surfaces of Two or More Indices When the Components of the Indices are Normally Distributed1937-01-01Paper
The probability that the standard deviation of a second sample will differ from the standard deviation of a first sample by less than a certain multiple of the standard deviation of the first sample.1935-01-01Paper
Note on the distributions of the standard deviations and second moments of samples from a Gram-Charlier population.1935-01-01Paper
Note on the Distributions of the Standard Deviations and Second Moments of Samples From a Gram-Charlier Population1935-01-01Paper
The Probability That the Mean of a Second Sample Will Differ from the Mean of a First Sample By Less Than a Certain Multiple of the Standard Deviation of the First Sample1935-01-01Paper
The probability that the mean of a second sample will differ from the mean of a first sample by less than a certain multiple of the standard deviation of the first sample.1935-01-01Paper
The probability that the mean of a second sample will differ from the mean of a first sample by less than a certain multiple of the standard deviation of the first sample.1935-01-01Paper
Transformations of non-normal frequency distributions into normal distributions.1934-01-01Paper
Transformation of Non-Normal Frequency Distributions Into Normal Distributions1934-01-01Paper
Distribution of the means divided by the standard deviations of samples from non-homogeneous populations.1932-01-01Paper
Distribution of the Means Divided By the Standard Deviations of Samples From Non-Homogeneous Populations1932-01-01Paper
The relation between the means and variances, means squared and variances in samples from combinations of normal populations.1931-01-01Paper
The Relation Between the Means and Variances, Means Squared and Variances in Samples from Combinations of Normal Populations1931-01-01Paper
Distribution of the means of samples of \(n\) drawn at random from a population represented by a Gram-Charlier series.1930-01-01Paper
Transformations of bimodal distributions.1930-01-01Paper
Random sampling from non homogeneous populations.1930-01-01Paper
The significance of the product-moment coefficient of correlation with special reference to the character of the marginal distributions.1930-01-01Paper

Research outcomes over time


Doctoral students

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