AbstractGeneral functional equations of the type ∑φi(Ai′t+Bi′u)=Ca(u|t)+Db(t|u)+Pk(t,u) and Σφi(Ci′t) = Pk(t) have been solved, where Pk represents a polynomial of degree k in all the arguments, Cn(u ∥ t), a polynomial of degree a in u given t, and Db(t ∥ u), a polynomial of degrce b in t given u. The results are applied in characterizing the multivariate normal variable by nonuniqueness of linear structure, independence of sets of linear functions, and constancy of regression of one set on another set of linear functions. The problem of characterization of probability distributions of individual random variables (which may be vectors), given the joint distribution of a relatively few linear functions of all the variables, has been studied....
Let X<SUB>1</SUB>, X<SUB>2</SUB>, ..., X<SUB>n</SUB> be independent random variables. Given the mome...
This paper is concerned with the distributions of linear functions of independent U and F variates. ...
Khatri and Rao's theorem on a characterization of multivariate normal distribution through independe...
General functional equations of the type ∑φ<SUB>i</SUB>(A<SUB>i</SUB>'t+B<SUB>i</SUB>'u)=C<SUB>a</SU...
AbstractGeneral functional equations of the type ∑φi(Ai′t+Bi′u)=Ca(u|t)+Db(t|u)+Pk(t,u) and Σφi(Ci′t...
AbstractThe main aim of this paper is to solve the functional equations ∑i=1kCαihi(ti)+∑j=1rBαjgi∑i=...
Let X be a vector of n independent variables and Z=AX be a vector of p < n linear functions of X....
The paper examines in some detail the nature of the probability distribution of the independent an...
AbstractLet Xj (j = 1,…,n) be i.i.d. random variables, and let Y′ = (Y1,…,Ym) and X′ = (X1,…,Xn) be ...
AbstractA large number of characterizations of univariate exponential distributions are known; these...
This thesis deals with a linear functional relationship model in which the unobserved true values sa...
The paper examines the nature of the latent random variables which occur in linear structural models...
Characterizations of the binomial, negative binomial, gamma, Poisson, and normal distributions are o...
The problem of determining a statistical population belonging to a certain class of distributions is...
We show that the orthogonal projection operator onto the range of the adjoint T⁎ of a linear operato...
Let X<SUB>1</SUB>, X<SUB>2</SUB>, ..., X<SUB>n</SUB> be independent random variables. Given the mome...
This paper is concerned with the distributions of linear functions of independent U and F variates. ...
Khatri and Rao's theorem on a characterization of multivariate normal distribution through independe...
General functional equations of the type ∑φ<SUB>i</SUB>(A<SUB>i</SUB>'t+B<SUB>i</SUB>'u)=C<SUB>a</SU...
AbstractGeneral functional equations of the type ∑φi(Ai′t+Bi′u)=Ca(u|t)+Db(t|u)+Pk(t,u) and Σφi(Ci′t...
AbstractThe main aim of this paper is to solve the functional equations ∑i=1kCαihi(ti)+∑j=1rBαjgi∑i=...
Let X be a vector of n independent variables and Z=AX be a vector of p < n linear functions of X....
The paper examines in some detail the nature of the probability distribution of the independent an...
AbstractLet Xj (j = 1,…,n) be i.i.d. random variables, and let Y′ = (Y1,…,Ym) and X′ = (X1,…,Xn) be ...
AbstractA large number of characterizations of univariate exponential distributions are known; these...
This thesis deals with a linear functional relationship model in which the unobserved true values sa...
The paper examines the nature of the latent random variables which occur in linear structural models...
Characterizations of the binomial, negative binomial, gamma, Poisson, and normal distributions are o...
The problem of determining a statistical population belonging to a certain class of distributions is...
We show that the orthogonal projection operator onto the range of the adjoint T⁎ of a linear operato...
Let X<SUB>1</SUB>, X<SUB>2</SUB>, ..., X<SUB>n</SUB> be independent random variables. Given the mome...
This paper is concerned with the distributions of linear functions of independent U and F variates. ...
Khatri and Rao's theorem on a characterization of multivariate normal distribution through independe...