Posterior analysis, prediction and reliability in three-parameter weibull distributions
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Publication:4541732
DOI10.1080/03610920008832555zbMath1107.62320OpenAlexW1969316874MaRDI QIDQ4541732
Publication date: 28 July 2002
Published in: Communications in Statistics - Theory and Methods (Search for Journal in Brave)
Full work available at URL: https://doi.org/10.1080/03610920008832555
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Cites Work
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- Simple conditions for the convergence of the Gibbs sampler and Metropolis-Hastings algorithms
- Inference from iterative simulation using multiple sequences
- An informative bayesian prediction for the weibull lifetime distribution
- Sampling-Based Approaches to Calculating Marginal Densities
- Bayesian Estimation and Prediction for Pareto Data
- Bayesian analysis of life-testing problems involving the weibull distribution
- Bayesian prediction for two-parameter weibull lifetime models
- Modeling asset returns with alternative stable distributions*
- Contemporary Bayesian Econometrics and Statistics
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