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The probability that the mean of a second sample will differ from the mean of a first sample by less than a certain multiple of the standard deviation of the first sample
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COMPUTATION OF FACTORS FOR TOLERANCE LIMITS ON A NORMAL DISTRIBUTION WHEN THE SAMPLE IS LARGE
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BOWKER AH, 1947, TECHNIQUE STAT ANAL, P95
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MOOD AM, 1950, INTRO THEORY STAT, P220
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TOLERANCE LIMITS FOR A NORMAL DISTRIBUTION
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Setting of tolerance limits when the sample is large
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[8]
Wallis WA., 1951, P 2 BERKELEY S MATH, V2, P43
[9]
Determination of sample sizes for setting tolerance limits
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