1. Aigner, D.J. and C.N. Morris (eds.): 1979, ‘Experimental Design in Econometrics’, Annals J. of Econometrics
11, 205 pp.
2. Aigner, D.J. and A. Zellner (eds.): 1988, ‘Causality’, Annals, J. of Econometrics
39 234 pp.
3. Bawa, V.S., S.J. Brown, and R.W. Klein: 1979, Estimation Risk and Optimal Portfolio Choice, North-Holland, Amsterdam.
4. Berger, J.O.: 1985, Statistical Decision Theory (2nd ed.), Springer-Verlag, New York.
5. Bernardo, J.: 1979, ‘Reference Posterior Distributions for Bayesian Inference’, J. Royal Statistical Society
B, 41, 113–147.