The structure of the distribution of a couple of observable random variables in credibility theory
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Publication:797251
DOI10.1016/0167-6687(84)90060-XzbMath0545.62067MaRDI QIDQ797251
F. Etienne De Vylder, Marc J. Goovaerts
Publication date: 1984
Published in: Insurance Mathematics \& Economics (Search for Journal in Brave)
Applications of statistics to actuarial sciences and financial mathematics (62P05) Basic linear algebra (15A99)
Related Items (2)
A characterization of the class of credibility matrices corresponding to a certain class of discrete distributions ⋮ Semilinear credibility with several approximating functions
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