Issue Date | Title | Author(s) |
1-Jan-2021 | Bivariate Mixed Poisson and Normal Generalised Linear Models with Sarmanov Dependence An Application to Model Claim Frequency and Optimal Transformed Average Severity | Alemany Leira, Ramon; Bolancé Losilla, Catalina; Rodrigo Marqués, Roberto; Vernic, Raluca |
1-Sep-2020 | Frequency and Severity Dependence in the Collective Risk Model: An Approach Based on Sarmanov Distribution | Bolancé Losilla, Catalina; Vernic, Raluca |
Mar-2019 | Multivariate count data generalized linear models: Three approaches based on the Sarmanov distribution | Bolancé Losilla, Catalina; Vernic, Raluca |
2017 | Multivariate count data generalized linear models: Three approaches based on the Sarmanov Distribution [WP] | Bolancé Losilla, Catalina; Vernic, Raluca |
Oct-2022 | On the Bivariate Composite Gumbel-Pareto Distribution | Badea, Alexandra; Bolancé Losilla, Catalina; Vernic, Raluca |
2015 | On the bivariate Sarmanov distribution and copula. An application on insurance data using truncated marginal distributions | Bahraoui, Zuhair; Bolancé Losilla, Catalina; Pelican, Elena; Vernic, Raluca |
1-Jan-2022 | Sarmanov distribution for modeling dependence between the frequency and the average severity of insurance claims | Vernic, Raluca; Bolancé Losilla, Catalina; Alemany Leira, Ramon |
2020 | The bivariate Sarmanov distribution for insurance claim frequencies and average severities | Vernic, Raluca; Bolancé Losilla, Catalina; Alemany Leira, Ramon |