Risk Theory and its Statistics Environment
Research output: Contribution to journal › Journal article › Research › peer-review
Standard
Risk Theory and its Statistics Environment. / Norberg, Ragnar.
In: Statistics, Vol. 21, No. 2, 1990, p. 273-299.Research output: Contribution to journal › Journal article › Research › peer-review
Harvard
Norberg, R 1990, 'Risk Theory and its Statistics Environment', Statistics, vol. 21, no. 2, pp. 273-299.
APA
Norberg, R. (1990). Risk Theory and its Statistics Environment. Statistics, 21(2), 273-299.
Vancouver
Norberg R. Risk Theory and its Statistics Environment. Statistics. 1990;21(2):273-299.
Author
Bibtex
@article{1f0c539074d111dbbee902004c4f4f50,
title = "Risk Theory and its Statistics Environment",
abstract = "Forsikringsmatematik",
author = "Ragnar Norberg",
year = "1990",
language = "English",
volume = "21",
pages = "273--299",
journal = "Statistics",
issn = "0233-1888",
publisher = "Taylor & Francis",
number = "2",
}
RIS
TY - JOUR
T1 - Risk Theory and its Statistics Environment
AU - Norberg, Ragnar
PY - 1990
Y1 - 1990
N2 - Forsikringsmatematik
AB - Forsikringsmatematik
M3 - Journal article
VL - 21
SP - 273
EP - 299
JO - Statistics
JF - Statistics
SN - 0233-1888
IS - 2
ER -
ID: 305292