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type_genre:"Bibliography included"
type_genre:"Collection of articles of several authors"
~subject:"Statistical distribution"
~type_genre:"Aufsatz im Buch"
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Credit risk : measurement, evaluation and management ; [on March 13th - 15th 2002, the 8th Econometric Workshop in Karlsruhe was held at the University of Karlsruhe (TH), Germany] ; with 85 figures
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Econometric analysis of financial and economic time series ; part B
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Operations research proceedings 2002 : selected papers of the International Conference on Operations Research (SOR 2002) ; Klagenfurt, September 2 - 5, 2002 ; with 51 tables
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Risikomanagement aus Bankenperspektive : Grundlagen, mathematische Konzepte und Anwendungsfelder ; [Tagung "Mathematik bei Banken und Versicherungen", Dezember 2003 an der TU Bergakademie Freiberg]
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Structured credit products : pricing, rating, risk management and Basel II
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The Oxford handbook of applied nonparametric and semiparametric econometrics and statistics
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1
Risk neutral density estimation with a functional linear model
Carrasco, Marine
;
Tsafack, Idriss
- In:
Essays in honor of Joon Y. Park : econometric …
,
(pp. 133-157)
.
2023
Persistent link: https://www.econbiz.de/10014315199
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2
Identification of beliefs in the presence of disaster risk and misspecification
Chaudhuri, Saraswata
;
Renault, Eric
;
Wahlstrom, Oscar
- In:
Essays in honor of Joon Y. Park : econometric …
,
(pp. 261-290)
.
2023
Persistent link: https://www.econbiz.de/10014315375
Saved in:
3
Modelling income distributions with limited data
Duangkamon Chotikapanich
;
Griffiths, William E.
; …
- In:
Advances in Economic Measurement : A Volume in Honour …
,
(pp. 233-263)
.
2022
Persistent link: https://www.econbiz.de/10013431396
Saved in:
4
On quantile estimator in volatility model with non-negative error density and Bayesian perspective
Dutta, Debajit
;
Dhar, Subhra Sankar
;
Mitra, Amit
-
2019
Persistent link: https://www.econbiz.de/10012244179
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5
Maximum likelihood estimation for income distributions using grouped data
Eckernkemper, Tobias
;
Gribisch, Bastian
- In:
Distributional modeling of financial systemic risk and …
,
(pp. 122-149)
.
2019
Persistent link: https://www.econbiz.de/10012179651
Saved in:
6
Estimation of parameters of misclassified size biased Borel Tanner distribution
Trivedi, B. S.
;
Patel, M. N.
- In:
Advances in analytics and applications
,
(pp. 243-260)
.
2019
Persistent link: https://www.econbiz.de/10011974469
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7
Estimating asymmetric dynamic distributions in high dimensions
Anatolyev, Stanislav
;
Khabibullin, Renat
;
Prokhorov, Artem
- In:
Asymmetric dependence in finance : diversification, …
,
(pp. 169-197)
.
2018
Persistent link: https://www.econbiz.de/10011978496
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8
Confidence sets for inequality measures : Fieller-type methods
Dufour, Jean-Marie
;
Flachaire, Emmanuel
;
Khalaf, Lynda
; …
- In:
Productivity and Inequality
,
(pp. 143-155)
.
2018
Persistent link: https://www.econbiz.de/10013357122
Saved in:
9
On the inverse gamma as a survival distribution
Glen, Andrew G.
- In:
Computational probability applications
,
(pp. 15-30)
.
2017
Persistent link: https://www.econbiz.de/10011595077
Saved in:
10
New estimation method for mixture of normal distributions
Hu, Qianfang
;
Zheng, Wei
;
Li, Baokun
;
Wang, Tonghui
- In:
Robustness in econometrics
,
(pp. 217-233)
.
2017
Persistent link: https://www.econbiz.de/10011801168
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