Herein, we propose the Bayesian approach for constructing the confidence intervals for both the coefficient of variation of a log-normal distribution and the difference between the coefficients of variation of two log-normal distributions. For the first case, the Bayesian approach was compared with large-sample, Chi-squared, and approximate fiducial approaches via Monte Carlo simulation. For the second case, the Bayesian approach was compared with the method of variance estimates recovery (MOVER), modified MOVER, and approximate fiducial approaches using Monte Carlo simulation. The results show that the Bayesian approach provided the best approach for constructing the confidence intervals for both the coefficient of variation of a log-norma...
Krishnamoorthy, Mathewand Ramachandran (2006) developed a method to draw inference on the mean and v...
This paper presents three confidence intervals for the coefficient of variation in a normal distribu...
This paper proposes confidence intervals for a single mean and difference of two means of normal dis...
The Birnbaum–Saunders (BS) distribution, which is asymmetric with non-negative support, can be trans...
The coefficient of variation is useful to measure and compare the dispersion of the data when differ...
There are many types of skewed distribution, one of which is the lognormal distribution that is posi...
The coefficient of variation (CV), defined as the ratio of the standard deviation to the mean, is of...
Lognormal distribution has many applications. The past research papers concentrated on the estimatio...
Confidence intervals are constructed for the coefficient of variation of a Gaussian distribution. Co...
Herein, we present four methods for constructing confidence intervals for the ratio of the coefficie...
The delta-lognormal distribution is a combination of binomial and lognormal distributions, and so ra...
In this paper we proposed two new confidence intervals for the normal population mean with known coe...
This paper considers several confidence intervals for estimating the population coefficient of varia...
The coefficient of variation (CV) of a population is defined as the ratio of the population standard...
Weighted percentiles in many areas can be used to investigate the overall trend in a particular cont...
Krishnamoorthy, Mathewand Ramachandran (2006) developed a method to draw inference on the mean and v...
This paper presents three confidence intervals for the coefficient of variation in a normal distribu...
This paper proposes confidence intervals for a single mean and difference of two means of normal dis...
The Birnbaum–Saunders (BS) distribution, which is asymmetric with non-negative support, can be trans...
The coefficient of variation is useful to measure and compare the dispersion of the data when differ...
There are many types of skewed distribution, one of which is the lognormal distribution that is posi...
The coefficient of variation (CV), defined as the ratio of the standard deviation to the mean, is of...
Lognormal distribution has many applications. The past research papers concentrated on the estimatio...
Confidence intervals are constructed for the coefficient of variation of a Gaussian distribution. Co...
Herein, we present four methods for constructing confidence intervals for the ratio of the coefficie...
The delta-lognormal distribution is a combination of binomial and lognormal distributions, and so ra...
In this paper we proposed two new confidence intervals for the normal population mean with known coe...
This paper considers several confidence intervals for estimating the population coefficient of varia...
The coefficient of variation (CV) of a population is defined as the ratio of the population standard...
Weighted percentiles in many areas can be used to investigate the overall trend in a particular cont...
Krishnamoorthy, Mathewand Ramachandran (2006) developed a method to draw inference on the mean and v...
This paper presents three confidence intervals for the coefficient of variation in a normal distribu...
This paper proposes confidence intervals for a single mean and difference of two means of normal dis...