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subject:"EU-Staaten"
type_genre:"Übersichtsarbeit"
~subject:"Forecasting model"
~type_genre:"Aufsatz im Buch"
~type_genre:"Conference proceedings"
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European regional growth : with 66 tables
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Advances in macroeconometric modeling : papers and proceedings of the 4th IWH Workshop in Macroeconometrics
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Foreign direct investment in the real and financial sector of industrial countries : with 85 tables ; [... held a conference entitled "Foreign direct investment in the real and financial sector of industrial countries" on 3 and 4 May 2002]
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Geld, Finanzwirtschaft, Banken und Versicherungen : 1996 ; Beiträge zum 7. Symposium Geld, Finanzwirtschaft, Banken und Versicherungen an der Universität Karlsruhe vom 11.- 13. Dezember 1996
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Portfolio construction, measurement, and efficiency : essays in honor of Jack Treynor
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Selected issues in macroeconomic and regional modeling : Romania as an emerging country in the EU
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Ökonomische Dynamik in Zentraleuropa : Innovation, Strukturwandel, Umwelt und Finanzarchitektur ; Annual Meeting of the Austrian Economic Association (NOeG) - 2006 ; NOeG 2006 May, 5th - 6th, 2006
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6th International Finance Conference on Financial Crisis and Governance
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Accounting for time-varying and nonlinear relationships in macroeconometric models
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Agriculture and food in the 21st century : economic, environmental and social challenges ; Festschrift on the occasion of Prof. Dr. Dr. h.c. P. Michael Schmitz 65th birthday
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An analysis of long-term influences on financial markets, uncertainty and the sustainability of fiscal balances
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Baltic Business and Socio-Economic Development 2007 : 3rd International Conference Tallinn, Estonia, June 17-19, 2007
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Computational optimization in economics and finance research compendium
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Das neue Europa : Innovation, Internet, Investition und Integration
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Econometric measures of financial risk in high dimensions
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Essays in finance : commodity derivatives, volatility forecasting, and the carbon market
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Exchange rates, economic integration and the international economy : [the collected papers of this volume were originally presented at the International Conference on Exchange Rates, Economic Integration and the International Economy, held at Ryerson University, Toronto, May 17 - 19, 2002]
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Finance and investment : the European case
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Financial aspects in energy : a European perspective
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Financial modelling : with 74 tables : [a selection of the papers presented at the 24th Meeting of the Euro Working Group on Financial Modelling held in Valencia, Spain, on April 8 - 10, 1999]
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81
Forecasting implied volatilities for options on index futures : time-series and cross-sectional analysis versus constant elasticity of variance (CEV) model
Tai, Tzu
;
Lee, Cheng F.
- In:
Portfolio construction, measurement, and efficiency : …
,
(pp. 355-387)
.
2017
Persistent link: https://www.econbiz.de/10011603288
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82
Sparsity analysis of energy price forecasting
Chen, Shi
- In:
Econometric measures of financial risk in high dimensions
,
(pp. 37-62)
.
2017
Persistent link: https://www.econbiz.de/10011913345
Saved in:
83
Inflation co-movement across countries in multi-maturity term structure: an arbitrage-free approach
Chen, Shi
- In:
Econometric measures of financial risk in high dimensions
,
(pp. 63-89)
.
2017
Persistent link: https://www.econbiz.de/10011913346
Saved in:
84
Horizontal industry links and return predictability
Zeng, Kailin
- In:
Essays on empirical asset pricing
,
(pp. 59-96)
.
2017
Persistent link: https://www.econbiz.de/10011887140
Saved in:
85
The prediction of firm failure : estimating firms' indebtedness and probability of default
Succurro, Marianna
- In:
Understanding bankruptcy : global issues, perspectives …
,
(pp. 31-50)
.
2017
Persistent link: https://www.econbiz.de/10012133640
Saved in:
86
Der Einfluss nationaler Bildungspolitik auf die Weiterbildungsbeteiligung von Geringqualifizierten - eine international-vergleichende Mehrebenenanalyse auf Basis des Labour Force S...
Martin, Andreas
;
Rüber, Ina E.
- In:
Governance und Interdependenz von Bildung : …
,
(pp. 167-195)
.
2017
Persistent link: https://www.econbiz.de/10011736454
Saved in:
87
Estimating distance-to-defauIt with a sector-specific liability adjustment via sequential Monte Carlo
Duan, Jin-Chuan
;
Wang, W.-T.
- In:
Applied quantitative finance
,
(pp. 73-91)
.
2017
Persistent link: https://www.econbiz.de/10011794954
Saved in:
88
Using public information to predict corporate default risk
Peng, C.N.
;
Lin, J.L.
- In:
Applied quantitative finance
,
(pp. 129-151)
.
2017
Persistent link: https://www.econbiz.de/10011794957
Saved in:
89
Stress testing in credit portfolio models
Kalkbrener, M.
;
Overbeck, Ludger
- In:
Applied quantitative finance
,
(pp. 153-176)
.
2017
Persistent link: https://www.econbiz.de/10011794959
Saved in:
90
The predictability of risk-factor returns
Bianchi, Robert
;
Drew, Michael E.
;
Pappas, Scott N.
- In:
Factor investing : from traditional to alternative risk …
,
(pp. 99-126)
.
2017
Persistent link: https://www.econbiz.de/10011795474
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