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A bayesian approach to a reliability problem: Theory, analysis and interesting numerics

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Publication:4358883
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DOI10.2307/3315728zbMath0891.62070OpenAlexW2122818021MaRDI QIDQ4358883

Irwin Guttman, George D. Papandonatos

Publication date: 25 June 1998

Published in: Canadian Journal of Statistics (Search for Journal in Brave)

Full work available at URL: https://doi.org/10.2307/3315728


zbMATH Keywords

Jeffreys' prior


Mathematics Subject Classification ID

Bayesian inference (62F15) Monte Carlo methods (65C05) Reliability and life testing (62N05) Numerical integration (65D30) Probabilistic methods, stochastic differential equations (65C99)


Related Items (3)

On Bayesian Inference of $$R=P(Y < X)$$ for Weibull Distribution ⋮ Optimally and computations for relative surprise inferences ⋮ Shrinkage and modification techniques in estimation of variance and the related problems: A review


Uses Software

  • LISP-STAT


Cites Work

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  • Bayesian Methods for Variance Component Models
  • Sampling-Based Approaches to Calculating Marginal Densities
  • Confidence Limits for Stress-Strength Models with Explanatory Variables
  • Sample size choice for reliability verification in strength‐stress models


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