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INTERVAL KEPERCAYAAN UNTUK PERBEDAAN KOEFISIEN VARIASI DARI DISTRIBUSI LOGNORMAL

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dc.contributor.author Pebriyani, I.
dc.contributor.author Bustami
dc.contributor.author Sugiarto, S.
dc.date.accessioned 2014-03-25T04:47:17Z
dc.date.available 2014-03-25T04:47:17Z
dc.date.issued 2014-03-25
dc.identifier.other Rangga Dwijunanda Putra
dc.identifier.uri http://repository.unri.ac.id/xmlui/handle/123456789/5860
dc.description.abstract This article discusses confidence interval for the difference of variation coefficients for lognormal distribution using the pivotal quantity, where pivotal quantity for the variation coefficients is unavailable, but there is a parameter having pivotal quantity in coefficients of variation i.e  2 . Therefore,  2 is constructed for pivotal quantity coefficients of variation using the Generalized Pivotal Approach (GPA). This confidence interval is shown in the term of coverage probabilities by implementing simulation studies with Matlab 7.6.0 en_US
dc.description.provenance Submitted by Rangga Dwijunanda Putra (rangga.madridista@gmail.com) on 2014-03-25T04:47:17Z No. of bitstreams: 1 KARYA ILMIAH IRMA PEBRIYANI.pdf: 266752 bytes, checksum: 522a7dd24432111bce2e79779c889f92 (MD5) en
dc.description.provenance Made available in DSpace on 2014-03-25T04:47:17Z (GMT). No. of bitstreams: 1 KARYA ILMIAH IRMA PEBRIYANI.pdf: 266752 bytes, checksum: 522a7dd24432111bce2e79779c889f92 (MD5) en
dc.description.sponsorship Bustami, Sugiarto, S. en_US
dc.language.iso other en_US
dc.subject coefficient of variation en_US
dc.subject confidence interval en_US
dc.subject generalized pivotal approach en_US
dc.subject lognormal distribution en_US
dc.title INTERVAL KEPERCAYAAN UNTUK PERBEDAAN KOEFISIEN VARIASI DARI DISTRIBUSI LOGNORMAL en_US
dc.type Other en_US


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