A GENERAL METHOD TO ESTIMATE CORRELATED DISCRETE RANDOM VARIABLES
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Publication:4512733
DOI10.1017/S0266466699152058zbMath0964.62110MaRDI QIDQ4512733
Publication date: 19 July 2001
Published in: Econometric Theory (Search for Journal in Brave)
Full work available at URL: https://doi.org/10.1017/s0266466699152058
62P20: Applications of statistics to economics
62H20: Measures of association (correlation, canonical correlation, etc.)
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