Confidence intervals for functions of log-normal parameters under copula dependence structures: applications to tornado damage areas in Canada
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Publication:6656891
DOI10.1134/s1995080224605034MaRDI QIDQ6656891
Rojanee Homchalee, Orawich Kumphon, Prayad Sangngam, Supawadee Wichitchan
Publication date: 3 January 2025
Published in: Lobachevskii Journal of Mathematics (Search for Journal in Brave)
Cites Work
- The higher order likelihood method for the common mean of several log-normal distributions
- An introduction to copulas.
- Statistical inference for the common mean of two log-normal distributions and some applications in reliability
- Estimation of parameters of a lognormal distribution
- Inferences on the means of lognormal distributions using generalized \(p\)-values and generalized confidence intervals.
- Point estimation for the ratio of medians of two independent log-normal distributions
- Likelihood Analysis for the Ratio of Means of Two Independent Log-Normal Distributions
- Generalized Confidence Intervals
- Methods for Comparing the Means of Two Independent Log-Normal Samples
- CONFIDENCE INTERVALS FOR COMMON VARIANCE OF NORMAL DISTRIBUTIONS
- Inferences on the common mean of several heterogeneous log-normal distributions
- Interval estimation of the common mean and difference of medians for a bivariate lognormal distribution
- Confidence intervals for the ratio of medians of two independent log-normal distributions
- Inferences on the Common Mean of Several Log‐Normal Populations: The Generalized Variable Approach
- Modified method on the means for several log-normal distributions
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