4.6 Article

Estimating average wind speed in Thailand using confidence intervals for common mean of several Weibull distributions

Journal

PEERJ
Volume 11, Issue -, Pages -

Publisher

PEERJ INC
DOI: 10.7717/peerj.15513

Keywords

Common mean; Bayesian method; Prior gamma distribution; Equitailed confidence interval; The highest posterior density; Generalized confidence interval; Adjusted method of variance estimates recovery; Simulation

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The Weibull distribution is used to analyze data from various fields, particularly wind speed data in engineering, survival analysis, lifetime analysis, and weather forecasting. Estimating the central tendency of wind speed data accurately is important for forecasting future catastrophic events. This study compares the performance of different methods in estimating the common mean of several Weibull distributions using data from Surat Thani province, Thailand. The Bayesian highest posterior density interval is found to be the most appropriate method, providing higher coverage probabilities and shorter expected lengths compared to other methods.
The Weibull distribution has been used to analyze data from many fields, including engineering, survival and lifetime analysis, and weather forecasting, particularly wind speed data. It is useful to measure the central tendency of wind speed data in specific locations using statistical parameters for instance the mean to accurately forecast the severity of future catastrophic events. In particular, the common mean of several independent wind speed samples collected from different locations is a useful statistic. To explore wind speed data from several areas in Surat Thani province, a large province in southern Thailand, we constructed estimates of the confidence interval for the common mean of several Weibull distributions using the Bayesian equitailed confidence interval and the highest posterior density interval using the gamma prior. Their performances are compared with those of the generalized confidence interval and the adjusted method of variance estimates recovery based on their coverage probabilities and expected lengths. The results demonstrate that when the common mean is small and the sample size is large, the Bayesian highest posterior density interval performed the best since its coverage probabilities were higher than the nominal confidence level and it provided the shortest expected lengths. Moreover, the generalized confidence interval performed well in some scenarios whereas adjusted method of variance estimates recovery did not. The approaches were used to estimate the common mean of real wind speed datasets from several areas in Surat Thani province, Thailand, fitted to Weibull distributions. These results support the simulation results in that the Bayesian methods performed the best. Hence, the Bayesian highest posterior density interval is the most appropriate method for establishing the confidence interval for the common mean of several Weibull distributions.

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