Allocation Schemes for Estimating the Product of Positive Parameters
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Publication:3746666
DOI10.2307/2287913zbMath0607.62027OpenAlexW4253955524MaRDI QIDQ3746666
Publication date: 1985
Full work available at URL: https://doi.org/10.2307/2287913
squared error lossBayes riskmyopicBernoulli populationssequential allocation methodbest nonrandom allocationestimating the product of positive parametersoptimal allocation schemes
Point estimation (62F10) Bayesian inference (62F15) Sequential statistical analysis (62L10) Reliability and life testing (62N05)
Related Items (7)
Revisiting sample allocation methods: a simulation-based comparison ⋮ Adaptive estimation of a function of a mean vector ⋮ Sequential designs for estimating the product of paraeers ⋮ Nearly second order three-stage design for estimating a product of several Bernoulli proportions ⋮ Optimal allocation for estimating the mean of a bivariate polynomial ⋮ Two stage design for estimating the reliability of series/parallel systems ⋮ Optimal few-stage designs
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