Environmental factors affecting reservoir safety, Statistics for the environment, pp.163-182, 1993. ,
Comparison of approaches for estimating the probability of coastal flooding, Journal of the Royal Statistical Society: Series C (Applied Statistics), vol.47, issue.3, pp.405-423, 1998. ,
DOI : 10.1111/1467-9876.00118
A Method for Simulating Stable Random Variables, Journal of the American Statistical Association, vol.6, issue.7, pp.340-344, 1976. ,
DOI : 10.1080/01621459.1976.10480344
Modelling multivariate extreme events, J. Roy. Statist. Soc. B, vol.53, pp.377-392, 1991. ,
A distributional model for repeated failure time measurements, J. Roy. Statist. Soc. B, vol.47, pp.447-452, 1985. ,
DOI : 10.1111/1467-9469.00088
A multivariate distribution with Weibull components, J. Roy. Statist. Soc. B, vol.51, pp.93-108, 1989. ,
A Multivariate Model for Repeated Failure Time Measurements, Scandinavian Journal of Statistics, vol.25, issue.1, 1998. ,
DOI : 10.1111/1467-9469.00088
A Score Test for the Multivariate Burr and Other Weibull Mixture Distributions, Scandinavian Journal of Statistics, vol.24, issue.3, pp.419-432, 1997. ,
DOI : 10.1111/1467-9469.00073
Multivariate extremes In Extreme Values in Finance, Telecommunications and the Environment, pp.373-388, 2004. ,
Sea and wind: multivariate extremes at work, pp.7-45, 1998. ,
A conditional approach for multivariate extreme values (with discussion), Journal of the Royal Statistical Society: Series B (Statistical Methodology), vol.77, issue.3, pp.497-546, 2004. ,
DOI : 10.1214/aoap/1019487509
A Class of Multivariate Failure Time Distributions, Biometrika, vol.73, issue.3, pp.671-678, 1986. ,
DOI : 10.2307/2336531
Extreme Value Distributions : Theory and Applications, 2000. ,
DOI : 10.1142/p191
An Introduction to Life Prediction of Plant Materials. Application of Extreme Value Statistical Methods for Corrosion Analysis, 1994. ,
Extremes and Related Properties of Random Sequences and Processes, 1983. ,
DOI : 10.1007/978-1-4612-5449-2
Statistics for near independence in multivariate extreme values, Biometrika, vol.83, issue.1, pp.169-187, 1996. ,
DOI : 10.1093/biomet/83.1.169
Modelling the choice of residential location, Spatial Interaction Theory and Planning Models, pp.75-96, 1978. ,
Modelling dependence and tails of financial time series In Extreme Values in Finance, Telecommunications and the Environment, Finkenstädt, pp.185-286, 2004. ,
Numerical calculation of stable densities and distribution functions, Communications in Statistics. Stochastic Models, vol.65, issue.4, pp.759-774, 1997. ,
DOI : 10.1080/15326349708807450
Stable Non-Gaussian Random Processes, 1994. ,
Applications of extreme-value theory in corrosion engineering, Journal of Research of the National Institute of Standards and Technology, vol.99, issue.4, pp.313-320, 1994. ,
DOI : 10.6028/jres.099.028
Fisher information for a multivariate extreme value distribution, Biometrika, vol.82, issue.3, pp.644-649, 1995. ,
DOI : 10.1093/biomet/82.3.644
Multivariate extremes for models with constant conditional correlations, J. Empirical Finance, vol.6, pp.515-553, 1999. ,
Statistics of Extremes, with Applications in Environment, Insurance, and Finance, Extreme Values in Finance, Telecommunications and the Environment, pp.2-78, 2004. ,
DOI : 10.1201/9780203483350.ch1
Simulating multivariate extreme value distributions of logistic type, Extremes, vol.6, issue.1, pp.49-59, 2003. ,
DOI : 10.1023/A:1026277229992
Modelling multivariate extreme value distributions, Biometrika, vol.77, issue.2, pp.245-253, 1990. ,
DOI : 10.1093/biomet/77.2.245
An examination of statistical theories for fibrous materials in the light of experimental data, Journal of Materials Science, vol.7, issue.9, pp.3260-3270, 1985. ,
DOI : 10.1007/BF00545193
One-dimensional Stable Distributions, Amer, Math. Soc. Transl. of Math. Monographs, vol.65, 1983. ,