Sequential estimation of a linear function of mean vectors
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Publication:3031800
DOI10.1080/07474948908836188zbMath0689.62067OpenAlexW2055956999MaRDI QIDQ3031800
Nitis Mukhopadhyay, S. Liberman
Publication date: 1989
Published in: Sequential Analysis (Search for Journal in Brave)
Full work available at URL: https://doi.org/10.1080/07474948908836188
simultaneous diagonalizationellipsoidal conficence regionslinear function of mean vectorsstudentized minimum chi-square distributionstwo-stabe procedure
Related Items (10)
Asymptotic Second-Order Efficiency of a Two-Stage Procedure for Estimating a Linear Function of Normal Means ⋮ Asymptotic Second-Order Efficiency for Multivariate Two-Stage Estimation of a Linear Function of Normal Mean Vectors ⋮ TWO-STAGE ESTIMATION OF A LINEAR FUNCTION OF NORMAL MEANS WITH SECOND-ORDER APPROXIMATIONS ⋮ On Behrens-Fisher problem for continuous time Gaussian processes ⋮ Estimation for an adaptive allocation design ⋮ Purely sequential bounded-risk point estimation of the negative binomial means under various loss functions: Multi-sample problems ⋮ Two_stage procedures for estimating a linear function of multinormal mean vectors ⋮ On sequential comparisons of means of first-order autoregressive models ⋮ On Two-Stage Confidence Interval Procedures and Their Comparisons for Estimating the Difference of Normal Means ⋮ Sequential sampling methodologies for comparing strata means∗
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