Publisher
Springer Science and Business Media LLC
Subject
Economics and Econometrics,Social Sciences (miscellaneous),Mathematics (miscellaneous),Statistics and Probability
Reference56 articles.
1. Alfons A, Templ M, Filzmoser P (2013) Robust estimation of economic indicators from survey samples based on Pareto tail modelling. J R Stat Soc C Appl 62:271–286
2. Alfons A, Templ M, Filzmoser P, Holzer J (2010) A comparison of robust methods for Pareto tail modeling in the case of Laeken indicators. In: Borgelt C, Rodríguez GG, Trutschnig W, Lubiano MA, Gil MA, Grzegorzewski P, Hryniewicz O (eds) Combining soft computing and statistical methods in data analysis. Springer, Heidelberg, pp 17–24
3. Arnold BC (1983) Pareto distributions. International Co-operative Publishing House, Fairland
4. Atkinson AB, Marlier E (2010) Income and living conditions in Europe. Publications Office of the European Union, Luxembourg
5. Axtell RL (2001) Zipf distribution of US firm sizes. Science 293:1818–1820
Cited by
17 articles.
订阅此论文施引文献
订阅此论文施引文献,注册后可以免费订阅5篇论文的施引文献,订阅后可以查看论文全部施引文献