Content
November 2016, Volume 78, Issue 2
- 183-214 Risk Diversifying Treaty Between Two Companies with Only One in Insurance Business
by I. Venkat Appal Raju & S. Ramasubramanian - 215-237 The Indian Official Statistical System Revisited
by P. Maiti & T. J. Rao & J. K. Ghosh - 238-286 M-Estimators for Regression with Changing Scale
by Christopher S. Withers & Saralees Nadarajah - 287-315 A Measure of Downside Risk in Multivariate Setup with Application in Measuring Financial Stress
by Sneharthi Gayen - 316-340 Reflected Generalized Beta Inverse Weibull Distribution: definition and properties
by Ibrahim Elbatal & Francesca Condino & Filippo Domma - 341-361 Abundant Environmental Arsenic Contamination: Some Statistical Perspectives
by Pranab K. Sen - 362-385 Statistical Auditing of Non-transparent Expert Assessments
by Michael Cain & Stuart McLeay
May 2016, Volume 78, Issue 1
- 1-38 Variable Family Size Based Spatial Moving Correlations Model
by Hensley H Mariathas & Brajendra C Sutradhar - 39-65 Inferences in Longitudinal Count Data Models with Measurement Errors in Time Dependent Covariates
by Brajendra C. Sutradhar & R. Prabhakar Rao - 66-77 On Comparisons of With and Without Replacement Sampling Strategies for Estimating Finite Population Mean in Randomized Response Surveys
by S. Sengupta - 78-95 Goodness of Fit of Product Multinomial Regression Models to Sparse Data
by Dianliang Deng & Sudhir R. Paul - 119-151 Sampling from Correlated Populations: Optimal Strategies and Comparison Study
by Ioulia Papageorgiou