Unbiased Estimator

In: Encyclopedia of Measurement and Statistics

Encyclopedia
Download PDF

Let the data be represented by X1, X2,…, Xn, a collection of random variables, whose behavior can be modeled by a probability distribution Fθ, where θ represents a parameter to be estimated from the data. Here, θ may be a k-dimensional vector. For example, Fθ may be the family of normal distributions ...

Looks like you do not have access to this content.

  • All
  • A
  • B
  • C
  • D
  • E
  • F
  • G
  • H
  • I
  • J
  • K
  • L
  • M
  • N
  • O
  • P
  • Q
  • R
  • S
  • T
  • U
  • V
  • W
  • X
  • Y
  • Z