Optimal confidence interval for the largest mean of correlated normal populations and its application to stock fund evaluation (Q1023841): Difference between revisions
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Revision as of 20:21, 19 March 2024
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English | Optimal confidence interval for the largest mean of correlated normal populations and its application to stock fund evaluation |
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Optimal confidence interval for the largest mean of correlated normal populations and its application to stock fund evaluation (English)
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16 June 2009
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