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Why the variance?

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Publication:1265985
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DOI10.1016/S0167-7152(98)00041-8zbMath0907.62062OpenAlexW2043423454WikidataQ56067754 ScholiaQ56067754MaRDI QIDQ1265985

Abram M. Kagan, Lawrence A. Shepp

Publication date: 15 December 1998

Published in: Statistics \& Probability Letters (Search for Journal in Brave)

Full work available at URL: https://doi.org/10.1016/s0167-7152(98)00041-8



Mathematics Subject Classification ID

Characterization and structure theory for multivariate probability distributions; copulas (62H05) Probability distributions: general theory (60E05) Axioms; other general questions in probability (60A05)


Related Items (3)

On a characterization of measures of dispersion ⋮ A multiple objective stochastic portfolio selection problem with random Beta ⋮ Correlation in \(L^p\)-spaces



Cites Work

  • A General Definition of Unbiasedness
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