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The preceding conference has been reviewed (see Zbl 0911.00039).NEWLINENEWLINEIndexed articles:NEWLINENEWLINE\\textit{Akdeniz, Fikri}, Estimation in the extended linear model, 1-7 [Zbl 1028.62046]NEWLINENEWLINE\\textit{Andronov, A.; Fioshin, M.}, Discrete optimization of statistical sample sizes in simulation by using the hierarchical resampling method., 9-16 [Zbl 1107.90428]NEWLINENEWLINE\\textit{Azevedo, C.; Oliveira, P. E.}, Kernel-type estimation of bivariate distribution function for associated random variables, 17-25 [Zbl 1029.62036]NEWLINENEWLINE\\textit{Bairamov, Ismihan; Kotz, Samuel}, On local dependence function for multivariate distributions., 27-44 [Zbl 1109.62319]NEWLINENEWLINE\\textit{Branco, Jo\u00e3o A.; Souto de Miranda, M. M.}, The tuning constant problem in regression type models, 45-50 [Zbl 1025.62011]NEWLINENEWLINE\\textit{Fang, Kai-Tai; Ma, Chang-Xing}, The usefulness of uniformity in experimental design, 51-59 [Zbl 1025.62027]NEWLINENEWLINE\\textit{K\u00e4\u00e4rik, Meelis}, Approximation of distributions by spheres, 61-66 [Zbl 1025.62007]NEWLINENEWLINE\\textit{Kalinauskas, Z.}, Econometric modeling of the Lithuanian economy, 67-75 [Zbl 1025.62049]NEWLINENEWLINE\\textit{Kollo, T.; Parring, A.-M.}, Non-null distribution of L\u00e4uter's \\(F\\)-statistic: A simulation study, 77-85 [Zbl 1029.62017]NEWLINENEWLINE\\textit{Lember, J.}, Zero-boundary Voronoi partitions, 87-96 [Zbl 1031.60002]NEWLINENEWLINE\\textit{Neudecker, Heinz}, On expected values of fourth-degree matrix products of a multinormal matrix variate, 97-115 [Zbl 1028.60016]NEWLINENEWLINE\\textit{P\u00f6tter, U.}, A multivariate Buckley-James estimator, 117-131 [Zbl 1027.62039]NEWLINENEWLINE\\textit{Shinmura, S.}, A new algorithm of the linear discriminant function using integer programming, 133-142 [Zbl 1027.62050]NEWLINENEWLINE\\textit{Staleuskaya, S.; Kharin, Yu.}, Robustification of ``approximating approach'' in simultaneous equations models, 143-149 [Zbl 1029.62030]NEWLINENEWLINE\\textit{Strasser, H.}, Data compression and statistical inference, 151-171 [Zbl 1027.62030]NEWLINENEWLINE\\textit{Tiit, E.-M.; K\u00e4\u00e4rik, E.}, Estimating the poverty line as a problem of multivariate statistics, 173-177 [Zbl 1027.62088]NEWLINENEWLINE\\textit{Tiit, E.-M.; Puusepp, V.; Viirsalu, H.-L.}, Dependence structure of a multivariate distribution characterised by the correlation matrix, 179-186 [Zbl 1027.62043]NEWLINENEWLINE\\textit{Tiit, E.-M.; V\u00e4hi, M.}, Approximation of multivariate probability functions by empirical marginal distributions and dependence measures, 187-194 [Zbl 1027.62036]NEWLINENEWLINE\\textit{Traat, Imbi}, Sampling design as a multivariate distribution, 195-207 [Zbl 1027.62005]NEWLINENEWLINE\\textit{Traat, Imbi; Kukk, Anneli}, Class of sampling designs with given marginals, 209-218 [Zbl 1027.62006]NEWLINENEWLINE\\textit{\u017de\u017eula, Ivan}, A remark on the extended growth curve model, 219-223 [Zbl 1027.62041]","type":"string"},"datatype":"string"},"type":"statement","id":"Q2784232$5B9EFCE7-A44F-47C3-8B0C-5FCC8F1D7111","rank":"normal"}]},"sitelinks":{"mardi":{"site":"mardi","title":"Multivariate statistics. 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