A Confidence Interval for a Normal Mean in the Case of Correlated Observations
Mathematica Applicanda, Tome 13 (1985) no. 26, pp. 79-91.

Voir la notice de l'article provenant de la source Annales Societatis Mathematicae Polonae Series

The interclass correlation which may occur in the normal sample influences the confidence level of the interval estimation relatively to the sample size. The robustness function is evaluated and the modified confidence intervals are proposed to guarantee robustness of the assumed level of confidence.
DOI : 10.14708/ma.v13i26.1649
Classification : 62F25
Mots-clés : Tolerance and confidence regions
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Małgorzata Bieńkiewicz. A Confidence Interval for a Normal Mean in the Case of Correlated Observations. Mathematica Applicanda, Tome 13 (1985) no. 26, pp.  79-91. doi : 10.14708/ma.v13i26.1649. http://geodesic.mathdoc.fr/articles/10.14708/ma.v13i26.1649/

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