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Society for Industrial and Applied Mathematics, Theory of Probability and Its Applications c/c of Teoriia Veroiatnostei i Ee Primenenie, 4(58), p. 675-683

DOI: 10.1137/s0040585x97986849

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An Optimal Estimate for the Covariance of Indicator Functions of Associated Random Variables

Journal article published in 2014 by V. P. Demichev ORCID
This paper was not found in any repository, but could be made available legally by the author.
This paper was not found in any repository, but could be made available legally by the author.

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