Modified Three-Stage Sampling for Fixed-Width Interval Estimation of the Common Variance of Equicorrelated Normal Distributions
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Publication:5413554
DOI10.1080/07474946.2014.856639zbMath1319.62178OpenAlexW2010834292MaRDI QIDQ5413554
Publication date: 30 April 2014
Published in: Sequential Analysis (Search for Journal in Brave)
Full work available at URL: https://doi.org/10.1080/07474946.2014.856639
two-stage samplingcommon variancefixed-width interval estimationthree-stage samplingequicorrelated normalexact distribution of stopping variable
Parametric tolerance and confidence regions (62F25) Sampling theory, sample surveys (62D05) Sequential estimation (62L12)
Related Items (6)
Fixed Accuracy Interval Estimation of the Common Variance in an Equi-Correlated Normal Distribution ⋮ Three-stage minimum risk point estimation with termination defined via Gini’s mean difference ⋮ Two-stage and sequential estimation of parameterNof binomial distribution whenpis known ⋮ A general theory of three-stage estimation strategy with second-order asymptotics and its applications ⋮ Exact Evaluation of Two-Stage Stein-Like Procedures – Review ⋮ Two-stage fixed-width and bounded-width confidence interval estimation methodologies for the common correlation in an equi-correlated multivariate normal distribution
Cites Work
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- On the Asymptotic Theory of Fixed-Width Sequential Confidence Intervals for the Mean
- On the Non-Existence of Tests of "Student's" Hypothesis Having Power Functions Independent of $\sigma$
- A Two-Sample Test for a Linear Hypothesis Whose Power is Independent of the Variance
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