Editors:
Stephenson, W. R.
Type:
Category:
Volume:
13(1)
Year:
2005
Publisher:
Journal of Statistics Education
URL:
http://www.amstat.org/publications/jse/v13n1/olsson.html
Abstract:
Methods for calculating confidence intervals for the mean are reviewed for the case where the data come from a log-normal distribution. In a simulation study it is found that a variation of the method suggested by Cox works well in practice. An approach based on Generalized confidence intervals also works well. A comparison of our results with those of Zhou and Gao (1997) reveals that it may be preferable to base the interval on t values, rather than on z values.
The CAUSE Research Group is supported in part by a member initiative grant from the American Statistical Association’s Section on Statistics and Data Science Education