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Estimation of parameters of bivariate normal distribution using concomitants of record values

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Publication:1015454
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DOI10.1007/s00362-006-0011-xzbMath1168.62346OpenAlexW2055664354MaRDI QIDQ1015454

J. Martínez

Publication date: 8 May 2009

Published in: Statistical Papers (Search for Journal in Brave)

Full work available at URL: https://doi.org/10.1007/s00362-006-0011-x


zbMATH Keywords

tablesbivariate normal distributionbest linear unbiased estimators


Mathematics Subject Classification ID

Estimation in multivariate analysis (62H12) Point estimation (62F10) Order statistics; empirical distribution functions (62G30) Statistics of extreme values; tail inference (62G32)


Related Items

Concomitants of \(k\)-record values arising from Morgenstern family of distributions and their applications in parameter estimation ⋮ Characterizations of bivariate distributions using concomitants of record values ⋮ Fisher Information in Record Values and Their Concomitants: A Comparison of Two Sampling Schemes ⋮ Stress-strength based on \(m\)-generalized order statistics and concomitant for dependent families.



Cites Work

  • Unnamed Item
  • On the normal record values and associated inference
  • Some Distributions of Induced Records
  • Concomitants and correlation estimates
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