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Data analysis / Multivariate normal distribution / Multivariate random variable / Covariance matrix / Variance / Elliptical distribution / Chi-squared distribution / Errors and residuals in statistics / Estimation of covariance matrices / Statistics / Normal distribution / Probability theory


C ONTRIBUTED R ESEARCH A RTICLES 129 On Sampling from the Multivariate t Distribution
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Document Date: 2014-01-10 18:20:02


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Leipzig / Zürich / /

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quantitative risk management / financial applications / /

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Princeton University / /

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Johannes Kepler Universität / Bettina Grün / Mikhail Gorbachev / Gabriel Doyon / Martin Mächler / Marius Hofert / /

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