About this Economics, Econometrics and Finance article
Estimation of the Mean of a Univariate Normal Distribution with Known Variance by Jan Magnus is a Economics, Econometrics and Finance article available to read on EtoBox.
It is typically read by researchers, students, and practitioners in Economics, Econometrics and Finance.
- Author
- Jan Magnus
- Publisher
- John Wiley and Sons; Oxford University Press; Blackwell Publishing Inc.; Oxford University Press (OUP) (ISSN 1368-4221)
- Published
- 2002
- Language
- EN
- Field
- Economics, Econometrics and Finance (Social Sciences)