在以前,只能针对一些常见的PDF(比如gaussian)和简单的统计数据(比如平均值)计算置信区间。
Historically, confidence intervals could only be easily calculated for a few common PDFs (such as the Gaussian) and simple statistics (such as the mean).
从统计决策理论角度研究了正态均值的线性置信区间。
Linear confidence interval of a normal mean is considered from the decision theoretic point of view.
文中详细讨论了多个状态下二元正态分布均值和方差的无偏估计和置信区间估计。
Then it can establish the estimators of means and covariance matrix of the multivariate normal distribution, and estimate their confidence limits and intervals in each state.
文中详细讨论了多个状态下二元正态分布均值和方差的无偏估计和置信区间估计。
Then it can establish the estimators of means and covariance matrix of the multivariate normal distribution, and estimate their confidence limits and intervals in each state.
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