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Statistical Practice

The Difference between Two Normal Means

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Pages 126-128 | Received 01 Dec 1991, Published online: 27 Feb 2012

References

  • Barnard , G. A. 1982 . “A New Approach to the Behrens-Fisher Problem” . Utilitas Mathematica , 21B : 261 – 271 .
  • Barnard , G. A. 1984 . “Comparing the Means of Two Independent Samples” . Journal of the Royal Statistical Society , 33 : 266 – 271 . Ser. C
  • Barnard , G. A. and Sprott , D. A. 1983 . “The Generalised Problem of the Nile: Robust Confidence Sets for Parametric Functions” . Annals of Statistics , 11 : 104 – 113 .
  • Chamberlin , S. R. and Sprott , D. A. 1989 . “The Estimation of a Location Parameter When the Scale Parameter Is Confined to a Finite Range: The Notion of a Generalized Ancillary Statistic” . Biometrika , 76 : 609 – 612 .
  • Kalbfleisch , J. G. 1985 . Probability and Statistical Inference, , 2nd ed. , Vol. 2 , New York : Springer-Verlag .
  • Moser , B. K. and Stevens , G. R. 1992 . “Homogeneity of Variances in the Two-Sample Means Test” . The American Statistician , 46 : 19 – 21 .

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