Estimation of the mean value for the normal distribution with constraints on \(d\)-risk
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Publication:722298
DOI10.1134/S1995080218030174zbMath1394.62027OpenAlexW2800572821MaRDI QIDQ722298
R. F. Salimov, Su-Fen Yang, Ekaterina Turilova, Igor N. Volodin
Publication date: 23 July 2018
Published in: Lobachevskii Journal of Mathematics (Search for Journal in Brave)
Full work available at URL: https://doi.org/10.1134/s1995080218030174
parameter estimationsequential estimation\(d\)-posterior approachempirical Bayesian approachexponential prior distributionnormal mean
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