A Novel Bivariate Generalized Weibull Distribution with Properties and Applications

Q3 Business, Management and Accounting
Ashok Kumar Pathak, Mohd. Arshad, Qazi J. Azhad, Mukti Khetan, Arvind Pandey
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引用次数: 1

Abstract

Univariate Weibull distribution is a well known lifetime distribution and has been widely used in reliability and survival analysis. In this paper, we introduce a new family of bivariate generalized Weibull (BGW) distributions, whose univariate marginals are exponentiated Weibull distribution. Different statistical quantiles like marginals, conditional distribution, conditional expectation, product moments, correlation and a measure component reliability are derived. Various measures of dependence and statistical properties along with aging properties are examined. Further, the copula associated with BGW distribution and its various important properties are also considered. The methods of maximum likelihood and Bayesian estimation are employed to estimate unknown parameters of the model. A Monte Carlo simulation and real data study are carried out to demonstrate the performance of the estimators and results have proven the effectiveness of the distribution in real-life situations.
一种新的二元广义威布尔分布及其性质与应用
单变量威布尔分布是一种众所周知的寿命分布,广泛应用于可靠性和生存分析。本文引入了一类新的二元广义威布尔分布,其单变量边际是指数威布尔分布。不同的统计分位数,如边际,条件分布,条件期望,积矩,相关性和一个测量分量的可靠性。各种措施的依赖性和统计性质以及老化性质进行了检查。此外,还考虑了与BGW分布相关的联结及其各种重要性质。采用极大似然估计和贝叶斯估计方法对模型的未知参数进行估计。通过蒙特卡罗模拟和实际数据研究,验证了估计器的性能,结果证明了该分布在实际情况下的有效性。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
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来源期刊
American Journal of Mathematical and Management Sciences
American Journal of Mathematical and Management Sciences Business, Management and Accounting-Business, Management and Accounting (all)
CiteScore
2.70
自引率
0.00%
发文量
5
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