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An approach to distribution of the product of two normal variables - MaRDI portal

An approach to distribution of the product of two normal variables (Q2870844)

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scientific article; zbMATH DE number 6248589
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An approach to distribution of the product of two normal variables
scientific article; zbMATH DE number 6248589

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    21 January 2014
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    normal distribution
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    inverse coefficient of variation
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    numerical integration
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    Monte Carlo simulation
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    An approach to distribution of the product of two normal variables (English)
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    The paper investigates some suitable conditions ensuring that the product of two independent normal random variables can be approximated (in some sense) by a normal distribution. In this respect, the coefficients of variation seem to give some indications. The findings are mainly obtained via numerical integration.
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