Multivariate count data generalized linear models: Three approaches based on the Sarmanov Distribution [WP]

dc.contributor.authorBolancé Losilla, Catalina
dc.contributor.authorVernic, Raluca
dc.date.accessioned2017-11-29T15:47:23Z
dc.date.available2017-11-29T15:47:23Z
dc.date.issued2017
dc.date.updated2017-11-29T15:47:23Z
dc.description.abstractStarting from the question: “What is the accident risk of an insured?”, this paper considers a multivariate approach by taking into account three types of accident risks and the possible dependence between them. Driven by a real data set, we propose three trivariate Sarmanov distributions with generalized linear models (GLMs) for marginals and incorporate various individual characteristics of the policyholders by means of explanatory variables. Since the data set was collected over a longer time period (10 years), we also added each individual’s exposure to risk. To estimate the parameters of the three Sarmanov distributions, we analyze a pseudo-maximumlikelihood method. Finally, the three models are compared numerically with the simpler trivariate Negative Binomial GLM.
dc.format.extent25 p
dc.format.mimetypeapplication/pdf
dc.identifier.issn1136-8365
dc.identifier.urihttps://hdl.handle.net/2445/118279
dc.language.isoeng
dc.publisherUniversitat de Barcelona. Facultat d'Economia i Empresa
dc.relation.isformatofReproducció del document publicat a: http://www.ub.edu/irea/working_papers/2017/201718.pdf
dc.relation.ispartofIREA – Working Papers, 2017, IR17/18
dc.relation.ispartofseries[WP E-IR17/18]
dc.rightscc-by-nc-nd, (c) Bolancé Losilla et al., 2017
dc.rights.accessRightsinfo:eu-repo/semantics/openAccess
dc.rights.urihttp://creativecommons.org/licenses/by-nc-nd/3.0/
dc.sourceDocuments de treball (Institut de Recerca en Economia Aplicada Regional i Pública (IREA))
dc.subject.classificationVariables (Matemàtica)
dc.subject.classificationVariables aleatòries
dc.subject.classificationTeoria de distribucions (Anàlisi funcional)
dc.subject.classificationTeoria de l'estimació
dc.subject.otherVariables (Mathematics)
dc.subject.otherRandom variables
dc.subject.otherTheory of distributions (Functional analysis)
dc.subject.otherEstimation theory
dc.titleMultivariate count data generalized linear models: Three approaches based on the Sarmanov Distribution [WP]
dc.typeinfo:eu-repo/semantics/workingPaper

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