Confidence Estimation within the Framework of the d-A Posteriori Approach
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Publication:5751764
DOI10.1137/1135039zbMath0719.62045OpenAlexW2043765128MaRDI QIDQ5751764
S. V. Simushkin, Igor N. Volodin
Publication date: 1990
Published in: Theory of Probability & Its Applications (Search for Journal in Brave)
Full work available at URL: https://doi.org/10.1137/1135039
exponential distributionsmeansnormal distributionsBernstein optimal fiducial estimationd-guaranteed testing of hypothesesmonotonic likelihood ratioupper fiducial bounds
Parametric tolerance and confidence regions (62F25) Bayesian inference (62F15) Foundations and philosophical topics in statistics (62A01)
Related Items (4)
On the d-posterior approach to the multiple testing problem ⋮ D-guaranteed discrimination of statistical hypotheses: a review of results and unsolved problems ⋮ Estimation of the mean value for the normal distribution with constraints on \(d\)-risk ⋮ Confidence bounds and narrowest reliable intervals in d-posterior approach
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