On the ratio of two correlated normal random variables
From MaRDI portal
Publication:5575191
DOI10.1093/biomet/56.3.635zbMath0183.48101OpenAlexW2028079794WikidataQ29394766 ScholiaQ29394766MaRDI QIDQ5575191
Publication date: 1969
Published in: Biometrika (Search for Journal in Brave)
Full work available at URL: https://doi.org/10.1093/biomet/56.3.635
Related Items (52)
On comparison of relative growth rates under different environmental conditions with application to biological data ⋮ Ratios of linear combinations in the general linear model ⋮ Network topology inference from infection statistics ⋮ The Kotz type ratio distribution ⋮ Jensen's bivariate gamma distribution: ratios of components ⋮ Measurement errors, linear calibration and inferences for means ⋮ Designing the Scale Counting Procedure for Large Numbers of Small Parts ⋮ Nonlinear regression and curved exponential families. Improvement of the approximation to the asymptotic distribution ⋮ A note on simulating unbiased heterogeneous expectations ⋮ Multivariate distributions involving ratios of normal variables ⋮ Asset price volatility and price extrema ⋮ Long term behavior of incomplete and time varying product ratings ⋮ Using laplace transform theory to estimate knots ⋮ The quotient of two correlated normal variables with applications ⋮ Tolerance limits and tolerance intervals for ratios of normal random variables using a bootstrap calibration ⋮ Convexity and monotonicity in language coordination: simulating the emergence of semantic universals in populations of cognitive agents ⋮ A class of ratio distributions of dependent folded normals and its applications ⋮ The Canny edge detector revisited ⋮ Estimating upper confidence bounds for positive ratios of normal random variables ⋮ Jump estimation in inverse regression ⋮ On the existence of a normal approximation to the distribution of the ratio of two independent normal random variables ⋮ Robust and scale-free effect sizes for non-Normal two-sample comparisons, with applications in e-commerce ⋮ Optimisation of classic photometric stereo by non-convex variational minimisation ⋮ Statistics for ratios of Rayleigh, Rician Nakagami-\(m\), and Weibull distributed random variables ⋮ Beta approximation of ratio distribution and its application to next generation sequencing read counts ⋮ Asymmetric inelastic inert doublet dark matter from triplet scalar leptogenesis ⋮ A large deviation perspective on ratio observables in reset processes: robustness of rate functions ⋮ A Bayesian analysis of dual autoradiographic images ⋮ Importance sampling for Bayesian sensitivity analysis ⋮ Assessing the Precision of Turning Point Estimates in Polynomial Regression Functions ⋮ Sample size calculation for a regularized \(t\)-statistic in microarray experiments ⋮ On the Ratios of Pathway Random Variables ⋮ On the ratio \(X/Y\) for some elliptically symmetric distributions ⋮ Mean and variance of ratios of proportions from categories of a multinomial distribution ⋮ Statistical properties of SNR for compressed measurements ⋮ Goodness-of-fit testing for the Gompertz growth curve model ⋮ Analytical approximation and numerical studies of one-dimensional elliptic equation with random coefficients ⋮ Confidence Bounds for Positive Ratios of Normal Random Variables ⋮ LED-based photometric stereo: modeling, calibration and numerical solution ⋮ Goodness-of-Fit Testing for Exponential Polynomial Growth Curves ⋮ IDENTIFYING THE OUT OF CONTROL VARIABLE IN A MULTIVARIATE CONTROL CHART ⋮ Construction of confidence intervals for the Laspeyres price index ⋮ On the Ratio of Two Folded Normal Distributions ⋮ Confidence Bounds for Multiplicative Comparisons ⋮ Efficiency fluctuations in steady-state machines ⋮ Nonparametric Statistical Methods for Cost‐Effectiveness Analyses ⋮ Breakdown and groups. (With discussions and rejoinder) ⋮ Density of the Ratio of Two Normal Random Variables and Applications ⋮ A comparison of confidence regions and designs in estimation of a ratio ⋮ Distribution of the quotient of noncentral normal random variables ⋮ On the product and ratio for the elliptically symmetric Pearson type Vii distribution ⋮ Quasi-Monte Carlo and Multilevel Monte Carlo Methods for Computing Posterior Expectations in Elliptic Inverse Problems
This page was built for publication: On the ratio of two correlated normal random variables