The variance of a truncated random variable and the riskiness of the underlying variables
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Publication:1382122
DOI10.1016/S0167-6687(97)00005-XzbMath0912.62024WikidataQ127878350 ScholiaQ127878350MaRDI QIDQ1382122
Publication date: 24 June 1998
Published in: Insurance Mathematics \& Economics (Search for Journal in Brave)
Applications of statistics to actuarial sciences and financial mathematics (62P05) Exact distribution theory in statistics (62E15)
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