The Probability of a Confidence Interval Based on Minimal Estimates of the Mean and the Standard Deviation
Using two measurements, we produce an estimate of the mean and the sample standard deviation. We construct a confidence interval with these parameters and compute the probability of the confidence interval by using the cumulative distribution function and averaging over the parameters. The probabili...
Saved in:
Main Author: | Louis M. Houston |
---|---|
Format: | Article |
Language: | English |
Published: |
Wiley
2013-01-01
|
Series: | Journal of Applied Mathematics |
Online Access: | http://dx.doi.org/10.1155/2013/131424 |
Tags: |
Add Tag
No Tags, Be the first to tag this record!
|
Similar Items
-
On the transition probabilities confidence interval evaluation in the syndromic analysis
by: Algimantas Bikelis, et al.
Published: (2001-12-01) -
Study on the Confidence and Reliability of the Mean Seismic Probability Risk Model
by: Xiao-Lei Wang, et al.
Published: (2017-01-01) -
Comparison of the Frequentist MATA Confidence Interval with Bayesian Model-Averaged Confidence Intervals
by: Daniel Turek
Published: (2015-01-01) -
Confidence Intervals for the Coefficient of Variation in a Normal Distribution with a Known Population Mean
by: Wararit Panichkitkosolkul
Published: (2013-01-01) -
Fuzzy Xbar and S Control Charts Based on Confidence Intervals
by: Nilufer Pekin Alakoc
Published: (2021-03-01)