Publicacions (67) Publicacions de AGUSTÍN HERNÁNDEZ BASTIDA

2017

  1. Bayesian analysis in an aggregate loss model: Validation of the structure functions

    Journal of Risk Model Validation, Vol. 11, Núm. 3, pp. 19-47

2016

  1. A Suitable Discrete Distribution for Modelling Automobile Claim Frequencies

    Bulletin of the Malaysian Mathematical Sciences Society, Vol. 39, Núm. 2, pp. 633-647

2014

  1. Computing credibility bonus-malus premiums using the total claim amount distribution

    Hacettepe Journal of Mathematics and Statistics, Vol. 43, Núm. 6, pp. 1047-1061

2012

  1. A Sarmanov family with beta and gamma marginal distributions: An application to the Bayes premium in a collective risk model

    Statistical Methods and Applications, Vol. 21, Núm. 4, pp. 391-409

  2. On the independence between risk profiles in the compound collective risk actuarial model

    Mathematics and Computers in Simulation, Vol. 82, Núm. 8, pp. 1419-1431

2009

  1. Developing a model to measure financial condition in local government: Evaluating service quality and minimizing the effects of the socioeconomic environment: An application to Spanish municipalities

    American Review of Public Administration, Vol. 39, Núm. 4, pp. 425-449

  2. Developing an alert system for local governments in financial crisis

    Public Money and Management, Vol. 29, Núm. 3, pp. 175-181

  3. Evaluating financial performance in local government: Maximizing the benchmarking value

    International Review of Administrative Sciences, Vol. 75, Núm. 1, pp. 151-167

  4. La distribución positiva Poisson-Lindley.: Estudio de sus propiedades y aplicaciones

    XXXI Congreso Nacional de Estadística e Investigación Operativa ; V Jornadas de Estadística Pública: Murcia, 10-13 de febrero de 2009 : Libro de Actas

  5. La evaluación de los indicadores financieros en la administración local: Maximizando el valor del Benchmarking

    Revista internacional de ciencias administrativas: revista de administración pública comparada, Vol. 75, Núm. 1, pp. 175-192

  6. The net Bayes premium with dependence between the risk profiles

    Insurance: Mathematics and Economics, Vol. 45, Núm. 2, pp. 247-254