INTERVAL KEPERCAYAAN UNTUK PERBEDAAN KOEFISIEN VARIASI DARI DISTRIBUSI LOGNORMAL

dc.contributor.authorPebriyani, I.
dc.contributor.authorBustami
dc.contributor.authorSugiarto, S.
dc.date.accessioned2014-03-25T04:47:17Z
dc.date.available2014-03-25T04:47:17Z
dc.date.issued2014-03-25
dc.description.abstractThis 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 7.6.0en_US
dc.description.sponsorshipBustami, Sugiarto, S.en_US
dc.identifier.otherRangga Dwijunanda Putra
dc.identifier.urihttp://repository.unri.ac.id/xmlui/handle/123456789/5860
dc.language.isootheren_US
dc.subjectcoefficient of variationen_US
dc.subjectconfidence intervalen_US
dc.subjectgeneralized pivotal approachen_US
dc.subjectlognormal distributionen_US
dc.titleINTERVAL KEPERCAYAAN UNTUK PERBEDAAN KOEFISIEN VARIASI DARI DISTRIBUSI LOGNORMALen_US
dc.typeOtheren_US

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