سمتهای علمی و اجرایی در دانشگاهها و مراکز علمی کشور
سمتهای علمی و اجرایی در مجلات و ژورنالهای معتبر ایران
مقالات بین المللی خارج از کشور
- "Generalized Poisson–Lindley Distribution", Informa UK Limited, (2010), Vol 39, No 10: 1785-1798
- "The beta generalized Pareto distribution with application to lifetime data", Elsevier BV, (2011), Vol 81, No 11: 2414-2430
- "Generalized exponential–power series distributions", Elsevier BV, (2012), Vol 56, No 12: 4047-4066
- "Asymptotic non-deficiency of the Bayes sequential estimation in a family of transformed Chi-square distributions", Springer Science and Business Media LLC, (2011), Vol 75, No 4: 567-580
- "Admissible and Minimax Estimators of θ<sup><i>r</i></sup>with Truncated Parameter Space Under Squared-Log Error Loss Function", Informa UK Limited, (2012), Vol 41, No 7: 1242-1253
- "Second order approximations in sequential point estimation of the probability of zero in Poisson distribution", The Scientific and Technological Research Council of Turkey (TUBITAK-ULAKBIM) - DIGITAL COMMONS JOURNALS, (2013), Vol , No :
- "Exponentiated Weibull–Poisson distribution: Model, properties and applications", Elsevier BV, (2013), Vol 92, No : 76-97
- "An admissible estimator for the rth power of a bounded scale parameter in a subclass of the exponential family under entropy loss function", Springer Science and Business Media LLC, (2013), Vol 64, No 8: 1297-1307
- "Exact Risk Evaluation of the Two-Stage Estimation of the Gamma Scale Parameter Under Bounded Risk Constraint", Informa UK Limited, (2015), Vol 34, No 3: 387-405
- "Bounded Risk Estimation of the Scale Parameter of a Gamma Distribution in a Two-Stage Sampling Procedure", Informa UK Limited, (2015), Vol 34, No 1: 25-38
- "The compound class of linear failure rate-power series distributions: Model, properties, and applications", Informa UK Limited, (2016), Vol 46, No 2: 1414-1440
- "Joint reliability and weighted importance measures of a <mml:math xmlns:mml="http://www.w3.org/1998/Math/MathML" id="mml7" display="inline" overflow="scroll" altimg="si2.gif"><mml:mi>k</mml:mi></mml:math>-out-of-<mml:math xmlns:mml="http://www.w3.org/1998/Math/MathML" id="mml8" display="inline" overflow="scroll" altimg="si8.gif"><mml:mi>n</mml:mi>
- "Bounded risk estimation of the hazard rate function of the exponential distribution: Two-stage procedure", Informa UK Limited, (2017), Vol 36, No 1: 38-54
- "Normal–Poisson distribution as a lifetime of a series system", Universidad Federal de Santa Maria, (2018), Vol 40, No : 23
- "Sequential fixed-width confidence interval for the <i>r</i>th power of the exponential scale parameter: Two-stage and sequential sampling procedures", Informa UK Limited, (2018), Vol 37, No 3: 293-310
- "Estimation of parameters for the Marshall–Olkin generalized exponential distribution based on complete data", Elsevier BV, (2018), Vol 146, No : 177-185
- "A New Class of Beta-Complementary Exponential Power Series Distributions", ASTM International, (2018), Vol 46, No 5: 20170036
- "Minimum risk sequential point estimation of the stress-strength reliability parameter for exponential distribution", Informa UK Limited, (2019), Vol 38, No 3: 279-300
- "Bounded Risk Estimation of the Gamma Scale Parameter in a Purely Sequential Sampling Procedure", Springer Science and Business Media LLC, (2019), Vol , No :
- "A Family of Loss Distributions with an Application to the Vehicle Insurance Loss Data", Pakistan Journal of Statistics and Operation Research, (2019), Vol , No : 731-744
- "New methods to define heavy-tailed distributions with applications to insurance data", Informa UK Limited, (2020), Vol 14, No 1: 359-382
- "Sequential-Based Approach for Estimating the Stress-Strength Reliability Parameter for Exponential Distribution", CMV Verlag, (2020), Vol 19, No 1: 85-120
- "Sequential fixed-accuracy confidence intervals for the stress–strength reliability parameter for the exponential distribution: two-stage sampling procedure", Springer Science and Business Media LLC, (2020), Vol 35, No 4: 1553-1575
- "Reliability Analysis of Weighted- k-out-of- n: G System Consisting of Two Different Types of Nonidentical Components Each with its Own Positive Integer-Valued Weight", Springer Science and Business Media LLC, (2020), Vol 19, No 3: 408
- "On Modeling the Earthquake Insurance Data via a New Member of the T-<i>X</i> Family", Hindawi Limited, (2020), Vol 2020, No : 1-20
- "Modeling Vehicle Insurance Loss Data Using a New Member of T-X Family of Distributions", Springer Science and Business Media LLC, (2020), Vol 19, No 2: 133
- "First-Order Integer-Valued Moving Average Process with Power Series Innovations", Springer Science and Business Media LLC, (2020), Vol 19, No 3: 415
- "A New Flexible Bathtub-Shaped Modification of the Weibull Model: Properties and Applications", Hindawi Limited, (2020), Vol 2020, No : 1-11
- "A new family of heavy tailed distributions with an application to the heavy tailed insurance loss data", Informa UK Limited, (2020), Vol 51, No 8: 4372-4395
- "A Flexible Reduced Logarithmic-<i>X</i> Family of Distributions with Biomedical Analysis", Hindawi Limited, (2020), Vol 2020, No : 1-15
- "Two-stage procedure in a first-order autoregressive process and comparison with a purely sequential procedure", Informa UK Limited, (2021), Vol 40, No 4: 466-481
- "The Exponential T-X Family of Distributions: Properties and an Application to Insurance Data", Hindawi Limited, (2021), Vol 2021, No : 1-18
- "The Arcsine-X Family of Distributions with Applications to Financial Sciences", Computers, Materials and Continua (Tech Science Press), (2021), Vol 39, No 3: 351-363
- "A new extended alpha power transformed family of distributions: properties, characterizations and an application to a data set in the insurance sciences", Communications for Statistical Applications and Methods, (2021), Vol 28, No 1: 1-19
- "A New Exponential-X Family: Modeling Extreme Value Data in the Finance Sector", Hindawi Limited, (2021), Vol 2021, No : 1-14
- "A New Class of Heavy-Tailed Distributions: Modeling and Simulating Actuarial Measures", Hindawi Limited, (2021), Vol 2021, No : 1-18
- "Bounded risk per unit cost index constraint for sequential estimation of the mean in a two-parameter exponential distribution", Informa UK Limited, (2022), Vol 41, No 3: 285-309
- "Modelling insurance losses using a new beta power transformed family of distributions", Informa UK Limited, (2020), Vol 51, No 8: 4470-4491
- "The Power Series Exponential Power Series Distributions with Applications to Failure Data Sets", Springer Science and Business Media LLC, (2021), Vol 84, No 1: 44-78
- "Copula-Based Reliability for Weighted-$k$-Out-of-$n$ Systems Having Randomly Chosen Components of $m$ Different Types", Institute of Electrical and Electronics Engineers (IEEE), (2022), Vol 71, No 2: 630-639
- "A class of claim distributions: Properties, characterizations and applications to insurance claim data", Informa UK Limited, (2020), Vol 51, No 7: 2183-2208
مقالات کنفرانسهای داخلی
- روش های دنباله ای برای برآورد پارامتر مکان توزیع نمایی منفی تحت تابع زیان خطی نمایی تعدیل یافته ارائه شده در ششمین کنفرانس بین المللی یافته های نوین علوم و تکنولوژی با محوریت علم در خدمت توسعه (1398)
- برآورد دنباله ای میانگین توزیع نرمال و بررسی بهینگی آن با شبیه سازی ارائه شده در کنفرانس بین المللی مدل سازی غیر خطی و بهینه سازی (1391)
- AN ADMISSIBLE ESTIMATOR OF THE POWERS OF A BOUNDED SCALE-PARAMETER UNDER MODIFIED LINEX LOSS FUNCTION ارائه شده در سی و هشتمین کنفرانس ریاضی ایران (1386)
- SEOUENTIAL POINT ESTIMATION OF FUNCTION OF THE NORMAL VARIANCES ارائه شده در سی و هشتمین کنفرانس ریاضی ایران (1386)
مقالات ژورنالهای تخصصی داخلی
- نمونه گیری دو مرحله ای بهبود یافته پیرامون میانگین مدل خودبازگشتی مرتبه اول منتشر شده در مجله علوم آماری (1401)
- توزیع رایلی-هندسی دومتغیره و ویژگی های آن منتشر شده در مجله علوم آماری (1398)
- بررسی پراکنش جغرافیایی جرایم در نواحی شهر جیرفت بین سال های ۱۳۹۰-۱۳۸۷ منتشر شده در فصلنامه جغرافیا و برنامه ریزی شهری چشم انداز زاگرس (1396)
- برآورد دنباله ای پارامتر مقیاس توزیع نمایی با محدودیت کران داری تابع مخاطره منتشر شده در مجله علوم آماری (1396)
- توزیع لیندلی لگاریتمی: مدل و ویژگی ها منتشر شده در مجله علوم آماری (1395)
- برآورد دنباله ای ترکیب خطی از پارامترهای مکان و مقیاس در توزیع نمایی منفی منتشر شده در دوفصلنامه اندیشه آماری (1394)
- یک توزیع چوله یکنواخت جدید: مدل و ویژگی ها منتشر شده در مجله علوم آماری (1390)
- ریسک برآوردگر دنباله ای نرخ شکست توزیع نمایی تحت کرانداری محدب منتشر شده در دوفصلنامه اندیشه آماری (1390)
- روش برآوردیابی دنباله ای و لزوم استفاده منتشر شده در دوفصلنامه اندیشه آماری (1389)