02334nam0 2200457 i 450 VAN011361820230705022237.888N978331919039620180115d2015 |0itac50 baengCH|||| |||||Marshall-Olkin distributions - Advances in theory and applicationsBologna, Italy, october 2013Umberto Cherubini, Fabrizio Durante, Sabrina Mulinacci editors[Cham]Springer2015XV, 113 p.ill.24 cm001VAN01025742001 Springer proceedings in mathematics & statistics210 Berlin [etc.]Springer141VAN0235101Marshall-Olkin distributions - Advances in theory and applications : Bologna, Italy, october 2013152268091B05Risk models (general) [MSC 2020]VANC019981MF60E15Inequalities; stochastic orderings [MSC 2020]VANC021557MF60E05Probability distributions: general theory [MSC 2020]VANC024596MF91B70Stochastic models in economics [MSC 2020]VANC028992MF62P05Applications of statistics to actuarial sciences and financial mathematics [MSC 2020]VANC030682MF62H10Multivariate distribution of statistics [MSC 2020]VANC033701MFCopulasKW:KCredit riskKW:KMarshall-Olkin DistributionKW:KQuantitative Risk ManagementKW:KTail DependenceKW:KCHChamVANL001889CherubiniUmbertoVANV087699DuranteFabrizioVANV087700MulinacciSabrinaVANV087701Springer <editore>VANV108073650ITSOL20240614RICAhttp://dx.doi.org/10.1007/978-3-319-19039-6E-book – Accesso al full-text attraverso riconoscimento IP di Ateneo, proxy e/o ShibbolethBIBLIOTECA DEL DIPARTIMENTO DI MATEMATICA E FISICAIT-CE0120VAN08NVAN0113618BIBLIOTECA DEL DIPARTIMENTO DI MATEMATICA E FISICA08CONS e-book 0286 08eMF286 20180115 Marshall-Olkin distributions - Advances in theory and applications1522680UNICAMPANIA