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subject:"Statistische Methodenlehre"
type_genre:"Sammlung"
~subject:"Cointegration"
~subject:"Portfolio-Management"
~type_genre:"Aufsatzsammlung"
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Search: subject_exact:"Estimation theory"
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Statistische Methodenlehre
Cointegration
Portfolio-Management
Schätztheorie
241
Estimation theory
240
Theorie
147
Theory
146
Ökonometrie
61
Zeitreihenanalyse
58
Time series analysis
57
Schätzung
43
Econometrics
42
Estimation
41
Regressionsanalyse
23
USA
23
United States
22
Ökonometrisches Modell
21
Regression analysis
19
Forecasting model
18
Prognoseverfahren
18
Modellierung
17
Scientific modelling
17
Panel
16
Panel study
16
Welt
15
World
15
Portfolio selection
14
Deutschland
13
Germany
13
Nichtparametrisches Verfahren
12
Nonparametric statistics
12
Option pricing theory
12
Optionspreistheorie
12
Macroeconometrics
11
Makroökonometrie
11
Statistische Methode
11
Kointegration
10
Statistical method
10
Börsenkurs
9
CAPM
9
Induktive Statistik
9
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Free
5
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1
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Book / Working Paper
29
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Sammlung
Aufsatzsammlung
Article in journal
1,293
Aufsatz in Zeitschrift
1,293
Graue Literatur
543
Non-commercial literature
543
Arbeitspapier
542
Working Paper
542
Hochschulschrift
84
Aufsatz im Buch
74
Book section
74
Thesis
70
Collection of articles of several authors
27
Sammelwerk
27
Bibliografie enthalten
22
Bibliography included
22
Lehrbuch
20
Textbook
18
Collection of articles written by one author
17
Konferenzschrift
15
Amtsdruckschrift
12
Government document
12
Conference paper
8
Konferenzbeitrag
8
Conference proceedings
6
Forschungsbericht
6
Systematic review
6
Übersichtsarbeit
6
Aufgabensammlung
4
Festschrift
4
Bibliografie
3
Handbook
3
Handbuch
3
Mehrbändiges Werk
2
Multi-volume publication
2
Amtliche Publikation
1
Bibliography
1
Biografie
1
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1
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Language
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English
28
German
2
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Horrace, William C.
2
Sickles, Robin C.
2
Abu-Mostafa, Yaser S.
1
Bao, Yong
1
Bergstrom, Abram R.
1
Bergstrom, Albert R.
1
Breuer, Beate
1
Callot, Laurent
1
Chaturvedi, Anoop
1
Choi, In
1
Comon, Etienne
1
Crößmann, Roman
1
De Nard, Gianluca
1
Eller, Roland
1
Elvstrøm Ekner, Line
1
Escribano, Álvaro
1
Gaißer, Sandra Caterina
1
Galata, Robert
1
Gaul, Jürgen
1
Gruber, Walter
1
Hackl, Peter
1
Hediger, Simon
1
Himbert, Benedikt W.
1
Kejriwal, Mohitosh
1
Küchenhoff, Helmut
1
Mercereau, Benoît
1
Nejstgaard, Emil
1
Peña, Daniel
1
Radchenko, Stanislav
1
Reidel, Demian Axel
1
Reif, Markus
1
Ruiz, Esther
1
Schmidt, Peter
1
Schneeweiß, Hans
1
Schröder, Michael
1
Sheppard, Kevin
1
Tschernig, Rolf
1
Ullah, Aman
1
Wan, Alan T. K.
1
Weber, Enzo
1
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Institution
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Fachverlag für Wirtschafts- und Steuerrecht Schäffer <Stuttgart>
1
International Institute for Applied Systems Analysis
1
Leonard N. Stern School of Business / Information Systems Department
1
Published in...
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Ph.D-afhandling / Økonomisk Institut, Københavns Universitet
2
PhD series / Department of Economics, University of Copenhagen
2
Contributions to economic analysis
1
ECON PhD dissertations
1
International journal of forecasting
1
SpringerLink / Bücher
1
Statistics : textbooks and monographs
1
ZEW-Wirtschaftsanalysen : Schriftenreihe des ZEW
1
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ECONIS (ZBW)
29
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New methods for testing, prediction, and estimation with applications to finance
Hediger, Simon
-
2023
Persistent link: https://www.econbiz.de/10014282051
Saved in:
2
Asset return prediction and covariance matrix estimation for portfolio selection in large dimensions
De Nard, Gianluca
-
2021
Persistent link: https://www.econbiz.de/10012806177
Saved in:
3
Modeling multivariate time series with fractional integration in macroeconomics and finance
Weigand, Roland
-
2018
Persistent link: https://www.econbiz.de/10012197752
Saved in:
4
Special section : 30 years of cointegration and dynamic factor models
Escribano, Álvaro
(
ed.
);
Peña, Daniel
(
ed.
); …
-
2021
Persistent link: https://www.econbiz.de/10013274618
Saved in:
5
Parameter estimation risk in portfolio optimisation - an application to Smart Beta investment strategies
Himbert, Benedikt W.
-
2018
Persistent link: https://www.econbiz.de/10012018992
Saved in:
6
Essays in quantitative portfolio optimization
Crößmann, Roman
-
2018
Persistent link: https://www.econbiz.de/10012030578
Saved in:
7
Large panels and high-dimensional vector autoregressive models
Callot, Laurent
-
2012
Persistent link: https://www.econbiz.de/10010204938
Saved in:
8
Statistics for copula-based measures of multivariate association : theory and applications to financial data
Gaißer, Sandra Caterina
-
2011
Persistent link: https://www.econbiz.de/10009125241
Saved in:
9
Festschrift in honor of Peter Schmidt : econometric methods and applications
Sickles, Robin C.
(
ed.
);
Schmidt, Peter
(
honouree
); …
-
2014
Persistent link: https://www.econbiz.de/10011539296
Saved in:
10
Cointegration and regime switching dynamics in macroeconomic applications
Elvstrøm Ekner, Line
-
2014
Persistent link: https://www.econbiz.de/10010375999
Saved in:
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