On \(p\times 1\) dependent random variables having each \((p - 1)\times 1\) sub-vector made up of iid observations with examples
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Publication:923859
DOI10.1016/j.spl.2009.03.026zbMath1166.62036OpenAlexW1492447488MaRDI QIDQ923859
Publication date: 24 July 2009
Published in: Statistics \& Probability Letters (Search for Journal in Brave)
Full work available at URL: https://doi.org/10.1016/j.spl.2009.03.026
Multivariate distribution of statistics (62H10) Measures of association (correlation, canonical correlation, etc.) (62H20) Characterization and structure theory for multivariate probability distributions; copulas (62H05) Probability distributions: general theory (60E05)
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A convolution identity and more with illustrations ⋮ Examples of non-normal observations for which a Studentized sample mean has a Student's \(t\)-distribution ⋮ On rereading D. Basu's jointly sufficient statistic example made up of two ancillaries and miscellany ⋮ Warr, R. L. and Erich, R. A. (2013), “Should the Interquartile Range Divided by the Standard Deviation be Used to Assess Normality?,”The American Statistician,67, 242–244: Comment by Mukhopadhyay and Reply
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