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The authors derive the value of \\(c_k\\) and establish five theorems for the above defined probability distribution. One of the theorems established by the authors is given below. Theorem 2.1. Let \\(X_1,\\dots,X_k\\) be matrix-variate random variables having the joint density as given above in (\\(*\\)). Then for the transformation  \\[ \\begin{aligned} Y_1&=(I+X_2+\\dots+X_k)^{-\\frac12} X_1(I+X_2+\\dots+X_k)^{-\\frac12}\\\\ &\\;\\vdots\\\\ Y_k&=(I+X_k)^{-\\frac12}(I+X_k)^{-\\frac12},\\end{aligned} \\]  \\(Y_1,\\dots,Y_k\\) are independent, and further, \\(Y_j\\) has type-1 density with parameters \\((\\alpha_j,\\alpha_{j+1}+\\dots+\\alpha_{k+1}+\\beta_j+\\beta_k)\\), 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