M. Pilar Fernández-Sánchez
University of Granada
Dr. Fernández-Sánchez received her MSc in Economics (1996) from the University of Santiago de Compostela (Spain). She started as an assistant professor in business statistics at the University of Granada in 1997. She received her PhD in Quantitative Methods Applied to Social Science from the University of Granada (Spain) in 2002. She has published several research papers about the use of empirical likelihood in Economics. Now her research is focused on areas related to Risk Management, Insurance and Bayesian analysis.
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Articles by M. Pilar Fernández-Sánchez
Bayesian analysis in an aggregate loss model: validation of the structure functions
This paper considers the empirical evaluation of a collective risk model with the geometric as the primary distribution and the exponential as the secondary distribution.