Omer L. Gebizlioglu

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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
The maximum surplus in a finite-time interval for a discrete-time risk model with exchangeable, dependent claim occurrences
Applied Stochastic Models in Business and Industry
2024-07-18Paper
A max-min model of random variables in bivariate random sequences
Journal of Computational and Applied Mathematics
2021-02-03Paper
On the distance sequence of distribution functions and goodness of fit tests2019-09-13Paper
Distributional properties of statistics based on invariant confidence intervals2019-09-13Paper
Ordering of claim size risks and actuarial implications2019-09-13Paper
A pseudo-Pareto distribution and concomitants of its order statistics
Methodology and Computing in Applied Probability
2017-09-18Paper
Computing finite time non-ruin probability and some joint distributions in discrete time risk model with exchangeable claim occurrences
Journal of Computational and Applied Mathematics
2016-11-22Paper
Comparison of the power of robust \(F^\ast\) and non-parametric Kruskal-Wallis tests in the one-way analysis of the variance model
International Journal of Mathematics and Statistics
2016-05-25Paper
On concomitants of upper record statistics and survival analysis for a pseudo-Gompertz distribution
Journal of Computational and Applied Mathematics
2015-06-16Paper
Measurement of bivariate risks by the north-south quantile points approach
Journal of Computational and Applied Mathematics
2014-07-23Paper
Bivariate pseudo-Gompertz distribution and concomitants of its order statistics
Journal of Computational and Applied Mathematics
2013-04-18Paper
Modeling of claim exceedances over random thresholds for related insurance portfolios
Insurance Mathematics & Economics
2011-12-21Paper
Comparison of certain value-at-risk estimation methods for the two-parameter Weibull loss distribution
Journal of Computational and Applied Mathematics
2011-05-11Paper
Risk analysis under progressive type II censoring with binomial claim numbers
Journal of Computational and Applied Mathematics
2009-10-09Paper
Tolerance intervals for quantiles of bivariate risks and risk measurement
Insurance Mathematics & Economics
2008-06-25Paper
Determination of dependency parameter in joint distribution of dependent risks by fuzzy approach
Insurance Mathematics & Economics
2006-10-05Paper
scientific article; zbMATH DE number 2189141 (Why is no real title available?)2005-07-28Paper
scientific article; zbMATH DE number 1894357 (Why is no real title available?)2003-06-24Paper
scientific article; zbMATH DE number 1854290 (Why is no real title available?)2003-04-14Paper
scientific article; zbMATH DE number 1228717 (Why is no real title available?)1999-07-04Paper
scientific article; zbMATH DE number 1133210 (Why is no real title available?)1998-03-25Paper
scientific article; zbMATH DE number 168075 (Why is no real title available?)1993-05-16Paper
scientific article; zbMATH DE number 168063 (Why is no real title available?)1993-05-16Paper


Research outcomes over time


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