The Most Economical Sequential Sampling Scheme for Inspection by Variables
- 1 July 1959
- journal article
- research article
- Published by Oxford University Press (OUP) in Journal of the Royal Statistical Society Series B: Statistical Methodology
- Vol. 21 (2) , 400-408
- https://doi.org/10.1111/j.2517-6161.1959.tb00347.x
Abstract
Summary: The two-point prior distribution of Barnard (1954) is used and leads to a method for calculating most economical sampling schemes for variables. An example is worked out where observations on items are normally distributed, and an application is given to determining most economical sampling schemes for group sequential sampling for attributes.This publication has 6 references indexed in Scilit:
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- Formulae for Calculating the Operating Characteristic and the Average Sample Number of Some Sequential TestsJournal of the Royal Statistical Society Series B: Statistical Methodology, 1958
- The Monte Carlo solution of some integral equationsMathematical Proceedings of the Cambridge Philosophical Society, 1954
- Sampling Inspection and Statistical DecisionsJournal of the Royal Statistical Society Series B: Statistical Methodology, 1954
- An Improvement to Wald’s Approximation for Some Properties of Sequential TestsJournal of the Royal Statistical Society Series B: Statistical Methodology, 1954
- Optimum Character of the Sequential Probability Ratio TestThe Annals of Mathematical Statistics, 1948