B. V. Popović

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List of research outcomes

This list is not complete and representing at the moment only items from zbMATH Open and arXiv. We are working on additional sources - please check back here soon!

PublicationDate of PublicationType
A bivariate distribution with generalized exponential conditionals
Mathematica Slovaca
2024-06-27Paper
Integral transformation of a copula function
Communications in Statistics: Theory and Methods
2023-07-28Paper
A numerical inversion of the bivariate characteristic function
Applied Mathematics and Computation
2023-04-21Paper
Generalized proportional reversed hazard rate distributions with application in medicine
Statistical Methods and Applications
2022-10-04Paper
Computing the exact distribution of a linear combination of generalized logistic random variables and its applications
Journal of Statistical Computation and Simulation
2022-03-24Paper
Discrimination among bivariate beta-generated distributions
Statistics
2021-01-27Paper
A new generalized weighted Weibull distribution with decreasing, increasing, upside-down bathtub, N-shape and M-shape hazard rate
Journal of Applied Statistics
2020-12-04Paper
Handbook of univariate and multivariate data analysis with IBM SPSS, second edition
Journal of Applied Statistics
2020-11-04Paper
A course on statistics for finance
Journal of Applied Statistics
2020-10-28Paper
Exercises and solutions in statistical theory
Journal of Applied Statistics
2020-10-28Paper
On linear combination of generalized logistic random variables with an application to financial returns
Applied Mathematics and Computation
2020-06-04Paper
Dependence properties of multivariate distributions with proportional hazard rate marginals
Applied Mathematical Modelling
2020-04-24Paper
Libby and Novick's generalized beta exponential distribution
Journal of Statistical Computation and Simulation
2020-03-27Paper
The gamma-Lomax distribution
Journal of Statistical Computation and Simulation
2020-03-27Paper
The gamma-linear failure rate distribution: theory and applications
Journal of Statistical Computation and Simulation
2020-03-12Paper
A new bivariate binomial time series model2019-08-23Paper
Copula-based properties of the bivariate Dagum distribution
Computational and Applied Mathematics
2019-01-29Paper
On extremes of two-dimensional Student-\(t\) distribution of the Marshall-Olkin type
Mediterranean Journal of Mathematics
2018-10-02Paper
A mixed stationary autoregressive model with exponential marginals
Statistical Papers
2017-12-13Paper
A new extended mixture normal distribution2017-09-26Paper
A two-parameter distribution obtained by compounding the generalized exponential and exponential distributions
Mediterranean Journal of Mathematics
2016-12-07Paper
Lindley first-order autoregressive model with applications
Communications in Statistics. Theory and Methods
2016-08-29Paper
The Lomax generator of distributions: properties, minification process and regression model
Applied Mathematics and Computation
2016-06-17Paper
\texttt{Compounding}: an R package for computing continuous distributions obtained by compounding a continuous and a discrete distribution
Computational Statistics
2015-02-18Paper
An extension of Azzalini's method
Journal of Computational and Applied Mathematics
2014-11-27Paper
AR(1) time series with approximated beta marginal
Publications de l'Institut Math?matique (Belgrade)
2014-04-25Paper
A new non-linear \(AR(1)\) time series model having approximate beta marginals
Metrika
2013-02-25Paper
On a generalized mixed AR(1) time series model
Markov Processes and Related Fields
2012-09-05Paper
On an AR(1) time series model with marginal two parameter Wright inverse-gamma distribution
Communications in Statistics. Theory and Methods
2012-08-02Paper
New mixed time series models having approximated beta marginals
Mathematical and Computer Modelling
2011-11-11Paper
On mixed \(AR(1)\) time series model with approximated beta marginal
Statistics & Probability Letters
2010-09-01Paper


Research outcomes over time


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