García-Bárzana, Marta; Ramos-Guajardo, Ana Belén; Colubi, Ana; Kontoghiorghes, Erricos J. Multiple linear regression models for random intervals: a set arithmetic approach. (English) Zbl 07225403 Comput. Stat. 35, No. 2, 755-773 (2020). MSC: 65C60 PDF BibTeX XML Cite \textit{M. García-Bárzana} et al., Comput. Stat. 35, No. 2, 755--773 (2020; Zbl 07225403) Full Text: DOI
Dong, Michael X.; Wets, Roger J.-B. Estimating density functions: a constrained maximum likelihood approach. (English) Zbl 0998.62028 J. Nonparametric Stat. 12, No. 4, 549-595 (2000). MSC: 62G07 60F10 90C15 PDF BibTeX XML Cite \textit{M. X. Dong} and \textit{R. J. B. Wets}, J. Nonparametric Stat. 12, No. 4, 549--595 (2000; Zbl 0998.62028) Full Text: DOI
Kaniovski, Yuri M.; King, Alan J.; Wets, Roger J.-B. Probabilistic bounds (via large deviations) for the solutions of stochastic programming problems. (English) Zbl 0835.90055 Ann. Oper. Res. 56, 189-208 (1995). MSC: 90C15 PDF BibTeX XML Cite \textit{Y. M. Kaniovski} et al., Ann. Oper. Res. 56, 189--208 (1995; Zbl 0835.90055) Full Text: DOI
Sharma, Vinod Reliable estimation via simulation. (English) Zbl 0822.60084 Queueing Syst. 19, No. 1-2, 169-192 (1995). MSC: 60K25 90B22 PDF BibTeX XML Cite \textit{V. Sharma}, Queueing Syst. 19, No. 1--2, 169--192 (1995; Zbl 0822.60084) Full Text: DOI
Kaňková, Vlasta A note on estimates in stochastic programming. (English) Zbl 0824.90104 J. Comput. Appl. Math. 56, No. 1-2, 97-112 (1994). MSC: 90C15 PDF BibTeX XML Cite \textit{V. Kaňková}, J. Comput. Appl. Math. 56, No. 1--2, 97--112 (1994; Zbl 0824.90104) Full Text: DOI
Morvai, Gusztáv Portfolio choice based on the empirical distribution. (English) Zbl 0776.90009 Kybernetika 28, No. 6, 484-493 (1992). MSC: 91G10 PDF BibTeX XML Cite \textit{G. Morvai}, Kybernetika 28, No. 6, 484--493 (1992; Zbl 0776.90009) Full Text: Link EuDML