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- Improved Confidence Intervals for the Ratio of Coefficients of Variation of Two Lognormal Distributions. Journal of Statistical Theory and Applications 2017. 16:345-353 .
- Improved tests for the equality of normal coefficients of variation. Computational Statistics 2014. 29:215-232 .
- Small sample inference for gamma parameters: one-sample and two-sample problems. Environmetrics 2014. 25:107-126 .
- Inference for the lognormal mean and quantiles based on samples with left and right type I censoring. Technometrics 2011. 53:72-83 .
- Tolerance intervals for symmetric location-scale families based on uncensored or censored samples. Journal of Statistical Planning and Inference 2011. 141:1170-1182 .
- A simple approximate procedure for constructing binomial and Poisson tolerance intervals. Communications in Statistics: Theory and Methods 2011. 40:2243-2258 .
- Conditional and unconditional tests for comparing several Poisson means. Journal of Applied Statistical Science 2010. 18:319-326 .
- Tolerance intervals for the distribution of the difference between two independent normal random variables. Communications in Statistics: Theory and Methods 2010. 40:117-129 .
- Confidence limits for stress-strength reliability involving Weibull models. Journal of Statistical Planning and Inference 2010. 140 :1754-1764 .
- Inference for functions of parameters in discrete distributions based on fiducial approach: Binomial and Poisson cases. Journal of Statistical Planning and Inference 2010. 140:1182-1192 .
- Exact properties of a new test and other tests for differences between several binomial proportions. Journal of Applied Statistical Science 2009. 16:411-423 .
- Inference on the difference and ratio of the means of two inverse Gaussian distributions. Journal of Statistical Planning and Inference 2008. 138:2082-2089 .
- Inference on Reliability in Two-parameter Exponential Stress–strength Model. Metrika 2007. 65:261-273 .
- Inferences on correlation coefficients: One-sample, independent and correlated cases. Journal of Statistical Planning and Inference 2007. 137:2362-2379 .
- Improved tolerance factors for multivariate normal distributions. Communications in Statistics: Simulation and Computation 2006. 35:461-478 .
- Exact size and power properties of five tests for multinomial proportions. Communications in Statistics: Simulation and Computation 2006. 35:149-160 .
- Comparison between two quantiles: The normal and exponential cases. Communications in Statistics: Simulation and Computation 2005. 34:243-252 .
- A multivariate test for similarity of two dissolution profiles. Journal of Biopharmaceutical Statistics 2005. 15:265-278 .
- Assessing occupational exposure via the one-way random effects model with unbalanced data. Journal of Statistical Planning and Inference 2005. 128:219-229 .
- On combining correlated estimators of the common mean of a multivariate normal distribution. Journal of Statistical Computation and Simulation 2005. 75:333-345 .
- Comparison of five tests for the common mean of several multivariate normal populations. Communications in Statistics: Simulation and Computation 2004. 33:431-446 .
- New approximate inferential methods for the reliability parameter in a stress–strength model: The normal case. Communications in Statistics: Theory and Methods 2004. 33:1715-1731 .
- One-sided tolerance limits in balanced and unbalanced one-way random models based on generalized confidence intervals. Technometrics 2004. 46:44-52 .
- New approximate inferential methods for the reliability parameter in a stress-strength model: The normal case. Communications in Statistics: Theory and Methods 2004. 33:1715-1731 .
- Inferences in multivariate-univariate calibration problems. Journal of the Royal Statistical Society, Series D: The Statistician 2003. 52:15-39 .
- Inference on the common mean of several normal populations based on the generalized variable method. Biometrics 2003. 59:237-247 .
- Inferences on the Common Mean of Several Normal Populations Based on the Generalized Variable Method. Biometrics 2003. 59:237-247 .
- Computing discrete mixtures of continuous distributions: noncentral chisquare, noncentral $t$ and the distribution of the square of the sample multiple correlation coefficient. Computational Statistics & Data Analysis 2003. 43:249-267 .
- Inferences on the means of lognormal distributions using generalized $p$-values and generalized confidence intervals. Journal of Statistical Planning and Inference 2003. 115:103-121 .
- Performance of the parametric bootstrap method in small sample interval estimates. Advances and Applications in Statistics 2002. 2:269-285 .
- Combining information for prediction in linear regression. Metrika 2002. 56:73-81 .
- Hypothesis testing about proportions in two finite populations. The American Statistician 2002. 56:215-222 .
- Assessing occupational exposure via the one-way random effects model with balanced data. Journal of Agricultural, Biological and Environmental Statistics 2002. 7:440-451 .
- Inferences on a normal covariance matrix and generalized variance with monotone missing data. Journal of Multivariate Analysis 2001. 78:62-82 .
- Multiple use one-sided hypotheses testing in univariate linear calibration. Journal of Statistical Planning and Inference 2001. 93:211-223 .
- Comparison of approximation methods for computing tolerance factors for a multivariate normal population. Technometrics 1999. 41:234-249 .
- Confidence estimation of a normal mean vector with incomplete data. Canadian Journal of Statistics 1999. 27:395-407 .
- Some simple test procedures for normal mean vector with incomplete data. Annals of the Institute of Statistical Mathematics 1998. 50:531-542 .
- Combining independent information in a multivariate calibration problem. Journal of Multivariate Analysis 1997. 61:171-186 .
- Combining independent normal sample means by weighting with their standard errors. Journal of Statistical Computation and Simulation 1997. 58:145-153 .
- Exact confidence intervals for the common mean of several normal populations. Biometrics 1996. 52:77-86 .
- Combining independent studies in a calibration problem. Journal of the American Statistical Association 1996. 91:1707-1715 .
- On combining independent tests in linear models. Statistics & Probability Letters 1995. 23:117-122 .
- Testing equality of several normal means to a specified standard (Corr: 95V27 p402). Journal of Quality Technology 1995. 27:132-138 .
- Confidence regions for the common mean vector of several multivariate normal populations. Canadian Journal of Statistics 1995. 23:283-297 .
- Unbiased equivariant estimation of a common normal mean vector with one observation from each population. Statistics & Probability Letters 1994. 19:33-38 .
- Simultaneous estimation of independent normal mean vectors with unknown covariance matrices. Journal of Multivariate Analysis 1993. 47:329-338 .
- Testing means using hypothesis-dependent variance estimates (Corr: 93V47 p316). The American Statistician 1993. 47:115-117 .
- Untruthful answering in repeated randomized response procedures. Canadian Journal of Statistics 1993. 21:233-236 .
- On a shrinkage estimator of a normal common mean vector. Journal of Multivariate Analysis 1992. 40:109-114 .
- Estimation of a common multivariate normal mean vector. Annals of the Institute of Statistical Mathematics 1991. 43:761-771 .
- Estimation of normal covariance and precision matrices with incomplete data. Communications in Statistics: Theory and Methods 1991. 20:757-770 .
- Improved estimators of eigenvalues of $\Sigma_1\Sigma_2^{-1}$. Statistics & Decisions 1990. 8:247-263 .
- Unbiased estimation of the common mean of a multivariate normal distribution. Communications in Statistics: Theory and Methods 1990. 19:1803-1810 .
- Estimation of the common mean of a bivariate normal distribution. Journal of Statistical Computation and Simulation 1989. 31:187-194 .
- Improved minimax estimation of a normal precision matrix. Canadian Journal of Statistics 1989. 17:91-102 .
- Unbiased estimation in type II censored samples from a one-truncation parameter density. Communications in Statistics: Theory and Methods 1989. 18:1023-1030 .
- Minimum variance unbiased estimation in some nonregular families. Communications in Statistics: Theory and Methods 1988. 17:3757-3765 .
- Optimal integration of two or three PPS surveys with common sample size $n>1$. Sankhyā, Series B 1987. 49:283-306 .
- An identity concerning a Wishart Matrix. Metrika 1986. 33:65-68 .
- Cost robustness of an algorithm for optimal integration of surveys. Sankhyā, Series B 1986. 48:233-245 .
- Non-existence of unbiased estimators of ordered parameters. Statistics 1985. 16:88-95 .
- Improved minimax estimators of normal covariance and precision matrices from incomplete samples. Calcutta Statistical Association Bulletin 1985. 34:23-42 .
- Empirical Bayes estimators of normal covariance matrix. Sankhyā, Series A 1985. 47:247-254 .
- Orthogonal equivariant minimax estimators of bivariate normal covariance matrix and precision matrix. Calcutta Statistical Association Bulletin 1983. 32:23-45 .