Bivariate gamma distribution as a life test model
Applications of Mathematics, Tome 29 (1984) no. 3, pp. 182-188.

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The bivariate gamma distribution is taken as a life test model to analyse a series system with two dependent components $x$ and $y$. First, the distribution of a function of $x$ and $y$, that is, minimum $(x,y)$, is obtained. Next, the reliability of the component system is evaluated and tabulated for various values of the parameters. Estimates of the parameters are also obtained by using Bayesian approach. Finally, a table of the mean and variance of minimum $(x,y)$ for various values of the parameters involved is presented.
DOI : 10.21136/AM.1984.104083
Classification : 62H10, 62N05
Keywords: bivariate gamma distribution; life test model; series system; dependent components; reliability; estimates; Bayesian approach; table; mean; variance
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Lingappaiah, Giri S. Bivariate gamma distribution as a life test model. Applications of Mathematics, Tome 29 (1984) no. 3, pp. 182-188. doi : 10.21136/AM.1984.104083. http://geodesic.mathdoc.fr/articles/10.21136/AM.1984.104083/

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