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An analytical method for calculating a coverage interval

Paweł Fotowicz

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The paper presents an analytical method for calculating a coverage interval. The method consists in approximation of the convolution of standard distributions attributed to input quantity values, such as Student's, normal, rectangular, triangular or trapezoidal. It may be applied when the model of a measurand is linear or close to linear.


PACS

06.20.Dk Measurement and error theory

06.20.fb Standards and calibration

Subjects

Instrumentation and measurement

Dates

Issue 1 (February 2006)

Received 21 July 2005

Published 18 November 2005



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