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Mar 22, 2015 9:14 AM
(8852 views)

I am looking to know the formula to calculate the standard errors for reliability growth parameters lamda and beta.

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The covariance matrix for the parameters is estimated using the Fisher information matrix. Although, using MS Excel, I cannot get the estimates to match exactly. They look to be the same up to 2 decimal points.

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The covariance matrix for the parameters is estimated using the Fisher information matrix. Although, using MS Excel, I cannot get the estimates to match exactly. They look to be the same up to 2 decimal points.

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Re: How to calculate reliability growth parameter standard errors?

This is described in the Statistical Details section of the Reliability Growth documentation:

Statistical Details for the Reliability Growth Platform

Michael Crotty

Sr Statistical Writer

JMP Development

Sr Statistical Writer

JMP Development

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Thank you, Michael. I did find the passage to which you are referring. I am actually looking for the math that is used, which is not in the provided link. Is there an article or book you can refer me to?

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Re: How to calculate reliability growth parameter standard errors?

I think this paper might help:

Crow, L. H., (1982), “Confidence Interval Procedures for the Weibull Process with Applications to Reliability Growth,” Technometrics, Feb. 1982, 24:1, 67-72.

Michael Crotty

Sr Statistical Writer

JMP Development

Sr Statistical Writer

JMP Development

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Re: How to calculate reliability growth parameter standard errors?

Thank you, Michael. I will review this article.

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