A Unified Confidence Interval for Reliability-related Quantities of Two-parameter Weibull Distribution
Statistical inference methods for the Weibull parameters and their functions usually depend on extensive tables, and hence are rather inconvenient for the practical applications. In this paper, we propose a general method for constructing confidence intervals for the Weibull parameters and their fun...
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sg-smu-ink.soe_research-11372016-03-08T06:14:48Z A Unified Confidence Interval for Reliability-related Quantities of Two-parameter Weibull Distribution YANG, Zhenlin Xie, M. Wong, A. C. M. Statistical inference methods for the Weibull parameters and their functions usually depend on extensive tables, and hence are rather inconvenient for the practical applications. In this paper, we propose a general method for constructing confidence intervals for the Weibull parameters and their functions, which eliminates the need for the extensive tables. The method is applied to obtain confidence intervals for the scale parameter, the mean-time-to-failure, the percentile function, and the reliability function. Monte-Carlo simulation shows that these intervals possess excellent finite sample properties, having coverage probabilities very close to their nominal levels, irrespective of the sample size and the degree of censorship. 2007-01-01T08:00:00Z text https://ink.library.smu.edu.sg/soe_research/138 info:doi/10.1080/00949650701227452 Research Collection School Of Economics eng Institutional Knowledge at Singapore Management University Analytical adjustment Confidence interval Mean-time-to-failure Percentile Reliability Type II censoring Weibull-to-exponential transformation Econometrics |
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Analytical adjustment Confidence interval Mean-time-to-failure Percentile Reliability Type II censoring Weibull-to-exponential transformation Econometrics YANG, Zhenlin Xie, M. Wong, A. C. M. A Unified Confidence Interval for Reliability-related Quantities of Two-parameter Weibull Distribution |
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Statistical inference methods for the Weibull parameters and their functions usually depend on extensive tables, and hence are rather inconvenient for the practical applications. In this paper, we propose a general method for constructing confidence intervals for the Weibull parameters and their functions, which eliminates the need for the extensive tables. The method is applied to obtain confidence intervals for the scale parameter, the mean-time-to-failure, the percentile function, and the reliability function. Monte-Carlo simulation shows that these intervals possess excellent finite sample properties, having coverage probabilities very close to their nominal levels, irrespective of the sample size and the degree of censorship. |
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text |
author |
YANG, Zhenlin Xie, M. Wong, A. C. M. |
author_facet |
YANG, Zhenlin Xie, M. Wong, A. C. M. |
author_sort |
YANG, Zhenlin |
title |
A Unified Confidence Interval for Reliability-related Quantities of Two-parameter Weibull Distribution |
title_short |
A Unified Confidence Interval for Reliability-related Quantities of Two-parameter Weibull Distribution |
title_full |
A Unified Confidence Interval for Reliability-related Quantities of Two-parameter Weibull Distribution |
title_fullStr |
A Unified Confidence Interval for Reliability-related Quantities of Two-parameter Weibull Distribution |
title_full_unstemmed |
A Unified Confidence Interval for Reliability-related Quantities of Two-parameter Weibull Distribution |
title_sort |
unified confidence interval for reliability-related quantities of two-parameter weibull distribution |
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Institutional Knowledge at Singapore Management University |
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2007 |
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https://ink.library.smu.edu.sg/soe_research/138 |
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1770569030925549568 |