Publications (3) Manuel Franco Nicolas publications

filter_list Statistics, Probability and Uncertainty

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

2002

  1. Stochastic orderings between spacings of generalized order statistics

    Probability in the Engineering and Informational Sciences, Vol. 16, Núm. 4, pp. 471-484