Publications (2) Manuel Franco Nicolas publications

filter_list Applied Mathematics

2012

  1. The generalized trapezoidal model in financial data analysis

    Mathematical and Statistical Methods for Actuarial Sciences and Finance

2011

  1. Multivariate extension of modified Sarhan-Balakrishnan bivariate distribution

    Journal of Statistical Planning and Inference, Vol. 141, Núm. 11, pp. 3400-3412