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The paper deals with the problem of estimating the parameters of the Weibull distribution. Although the topic has been thoroughly investigated by statisticians, a new approach, stemming from the reliability theory, is presented here in. A new estimation method for the Weibull distribution, based on analytical formulas alone, has been developed.
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Operational Program Digital Poland, 2014-2020, Measure 2.3: Digital accessibility and usefulness of public sector information; funds from the European Regional Development Fund and national co-financing from the state budget.
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