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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)