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Table 9

, i = 1, 2 computed using Gumbel–Hougaard copula (Eq. (11)), , i = 3, 4 computed using Gaussian copula (Eq. (10)), i = 1, 3 from Non Informative settings, i = 2, 4 from Informative settings. In brackets, the standard deviation of the expected values. In bold, the highest mean expected values per line.

Interval (c, d] Gumbel H (NI) (V|U ∈ (c, d]) Gumbel H (I) (V|U ∈ (c, d]) Gaussian (NI) (V|U ∈ (c, d]) Gaussian (I) (V|U ∈ (c, d])
(0, 0.25] 0.1976 (18.9 × 10−3) 0.1977 (19.0 × 10−3) 0.1826 (16.8 × 10−3) 0.1815 (15.7 × 10−3)
(0.25, 0.50] 0.3888 (5.09 × 10−3) 0.3889 (5.13 × 10−3) 0.4033 (7.03 × 10−3) 0.4029 (6.65 × 10−3)
(0.50, 0.75] 0.5826 (9.49 × 10−3) 0.5826 (9.51 × 10−3) 0.5967 (7.03 × 10−3) 0.5971 (6.65 × 10−3)
(0.75, 1] 0.8309 (14.5 × 10−3) 0.8308 (14.6 × 10−3) 0.8174 (16.8 × 10−3) 0.8185 (15.7 × 10−3)