Estimating probabilities under the three-parameter gamma distribution using composite sampling
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Publication:961243
DOI10.1016/j.csda.2008.10.005zbMath1452.62980OpenAlexW2067680739MaRDI QIDQ961243
Patrick D. Gerard, Jeffrey N. Jonkman, William H. Swallow
Publication date: 30 March 2010
Published in: Computational Statistics and Data Analysis (Search for Journal in Brave)
Full work available at URL: https://doi.org/10.1016/j.csda.2008.10.005
Computational methods for problems pertaining to statistics (62-08) Applications of statistics in engineering and industry; control charts (62P30)
Uses Software
Cites Work
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- Approximation Theorems of Mathematical Statistics
- Monte Carlo Comparison of ANOVA, MIVQUE, REML, and ML Estimators of Variance Components
- Simulation and estimation problems associated with the 3-parameter gamma density
- Theoretical Comparison of Grab and Composite Sampling Programs
- Estimation problems associated with the three parameter gamma distribution
- Numerical Methods of Statistics
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