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Showing 2 results for reliability
Anita Abdollahi Nanvapisheh, , Volume 23, Issue 2 (3-2019)
Abstract
In this paper, a new distribution is introduced, which is a generalization of a well-known distribution. This distribution is flexible and applies to income data modeling. We first provide some of the mathematical and distributional properties of this new model and then, to demonstrate the flexibility the new distribution, we will present the applications of this distribution with real data. Data fitting results confirm the appropriateness of this new model for the real data set.
Shahrastani Shahram Yaghoobzadeh, Volume 24, Issue 1 (9-2019)
Abstract
In this paper, reliability in multi-component stress-strength models, when the stress and strength variables are inverse Rayleigh distributions with different parameters of alpha and beta. Estimates of the maximum likelihood, Bayesian and empirical Bayesian are estimated. Then, with the help of Monte Carlo simulation and two real data sets, these estimation methods are compared.
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