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Computation of characteristics of value-of-time distributions and their standard errors

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  • Meijer, Erik

    (Groningen University)

Abstract

It is discussed how from some estimated bivariate distributions characteristics of the distribution of the ratio of the two random variables and standard errors thereof can be computed.

Suggested Citation

  • Meijer, Erik, 2004. "Computation of characteristics of value-of-time distributions and their standard errors," Research Report 04F09, University of Groningen, Research Institute SOM (Systems, Organisations and Management).
  • Handle: RePEc:gro:rugsom:04f09
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    File URL: http://irs.ub.rug.nl/ppn/265445949
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    References listed on IDEAS

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    1. J. M. Bernardo, 1976. "Psi (Digamma) Function," Journal of the Royal Statistical Society Series C, Royal Statistical Society, vol. 25(3), pages 315-317, November.
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