Estimating the Mean of Normal Distribution with Known Coefficient of Variation
From MaRDI portal
Publication:5324082
DOI10.1080/01966324.2008.10737739zbMath1175.62020OpenAlexW1995873909MaRDI QIDQ5324082
No author found.
Publication date: 3 August 2009
Published in: American Journal of Mathematical and Management Sciences (Search for Journal in Brave)
Full work available at URL: https://doi.org/10.1080/01966324.2008.10737739
Lua error in Module:PublicationMSCList at line 37: attempt to index local 'msc_result' (a nil value).
Related Items (1)
Cites Work
- Unnamed Item
- Unnamed Item
- Estimation of population mean when coefficient of variation is known using scrambled response technique
- Minimum discrimination information estimator of the mean with known coefficient of variation
- Relative Efficiency of Estimators of the Mean of a Normal Distribution when Coefficient of Variation is Known
- The Minimum Distance Method
- Three-stage and ‘accelerated’ sequential procedures for the mean of a normal population with known coefficient of variation
- A Note on Estimating the Mean of a Normal Distribution with Known Coefficient of Variation
- On the Probability of Winning with Different Tournament Procedures
- The Utilization of a Known Coefficient of Variation in the Estimation Procedure
This page was built for publication: Estimating the Mean of Normal Distribution with Known Coefficient of Variation