This course is compulsory on the BSc in Actuarial Science and BSc in Financial Mathematics and Statistics. This course is available on the BSc in Business Mathematics and Statistics, BSc in ...
Any pair of univariate marginal distributions can be combined with any copula to yield a bivariate distribution with the given marginals. This being the case, it is tempting to conclude that the ...
Let $F_{i}(i=1,\ldots ,k)$ be given univariate distributions and Î be the set of k-variate distributions having marginals Fi. In this paper the extremal and quasi ...
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