The Probability Distribution of Future Bad Debt Losses for a Given Portfolio of
The Probability Distribution of Future Bad Debt Losses for a Given Portfolio of
Christoph Haehling Von Lanzenauer
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^19, (197^). 2. Benlshay, H. , "Managerial Controls of Accounts Receivables: A Deterministic Approach", THE JOURNAL OF ACCOUNTING RESEARCH, Vol. 3, No. L, Spring 1965. 3. Buzby, St. , "Extending the Applicability of Probabilistic Management Planning and Control Models", THE ACCOUNTING REVIEW, Vol. ^9, No. L, January 197^. 4. Grauer, H. "Mathematical Methods of Statistic", Princeton University Press, 1945. 5. Cyert, R. M. , Davidson, H. J. And Thompson, G. L. , "Estimation of the Allowance for D...oubtful Accounts by Markov Chains", MANAGEMENT SCIENCE, Vol. 8, No. 3, April 1962. 6. Feller, W. , "An Introduction to Probability Theory and Its Applications", Vol. I and II, John Willy, New York, 1958 and 1966. 7. Geary, R. C. , and Pearson, E. S. , "Tests of Normality", London Biometrica Office, Unlveristy College, 1936. 8. Haehling von Lanzenauer, C. And Wright, D. , "The Distribution of Aggregate Claims", Blatter der Deutschen Gesellschaft fur Versicherungsmathematik, Vol. 12, No. L, April 1975.
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