1973•Scandinavian Actuarial JournalRequires access

Estimation of the parameters of the logistic distribution from grouped samples

Khatab M. Hassanein, Jeanne L. Sebaugh

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Abstract

Assume that (x 1 x 2, …, xn ) are n independent observations from the logistic distribution with mean µ and variance σ2 and density function where(-∞ < χ < ∞, - ∞ < χ, σ > 0 and a = .

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What this paper is about

Assume that (x 1 x 2, …, xn ) are n independent observations from the logistic distribution with mean µ and variance σ2 and density function where(-∞ < χ < ∞, - ∞ < χ, σ > 0 and a = .

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Available abstract

Assume that (x 1 x 2, …, xn ) are n independent observations from the logistic distribution with mean µ and variance σ2 and density function where(-∞ < χ < ∞, - ∞ < χ, σ > 0 and a = .

Key concepts: Logistic distribution, Mathematics, Statistics, Logistic regression, Distribution (mathematics), Log-logistic distribution, Variance (accounting), Logistic function

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