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  • Search: subject:"DCC Model"
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Year of publication
Subject
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ARCH model 29 ARCH-Modell 29 DCC model 29 Volatility 22 Volatilität 21 Schätzung 20 Estimation 19 Financial crisis 17 Aktienmarkt 15 Finanzkrise 15 Theorie 15 Theory 15 Correlation 14 Korrelation 14 Stock market 14 Börsenkurs 13 Share price 13 International financial market 12 Internationaler Finanzmarkt 12 Portfolio selection 9 Portfolio-Management 9 Welt 9 World 9 Ansteckungseffekt 8 Spillover effect 8 Spillover-Effekt 8 Contagion effect 7 Hedging 7 Devisenmarkt 6 Exchange rate 6 Foreign exchange market 6 Global financial crisis 6 Risiko 6 Risikomaß 6 Risk 6 Risk measure 6 contagion 6 A-DCC model 5 Aktienindex 5 Capital income 5
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Online availability
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Undetermined 27 Free 23 CC license 3
Type of publication
All
Article 53 Book / Working Paper 13
Type of publication (narrower categories)
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Article in journal 40 Aufsatz in Zeitschrift 40 Working Paper 10 Arbeitspapier 7 Graue Literatur 7 Non-commercial literature 7 Article 2
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Language
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English 52 Undetermined 13 Polish 1
Author
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Dimitriou, Dimitrios 6 Kenourgios, Dimitris 6 Chiang, Thomas C. 4 Antonakakis, Nikolaos 3 El Abed, Riadh 3 Guesmi, Khaled 3 Kočenda, Evžen 3 Moravcová, Michala 3 Scharler, Johann 3 Zardoub, Amna 3 Chen, Xiaoyu 2 Du, Guqian 2 Efimova, Olga 2 Girardi, Giulio 2 Huang, Ya-Ling 2 Kaabia, Olfa 2 Kazi, Irfan Akbar 2 Lee, Yen-Hsien 2 Liu, Chun 2 Luo, Jiawen 2 Mighri, Zouheir 2 Mora-Valencia, Andrés 2 Perote, Javier 2 Samitas, Aristeidis 2 Serletis, Apostolos 2 Simos, Theodore 2 Tronzano, Marco 2 Tsakalos, Ioannis 2 Wu, Chun-Yu 2 You, Jiaxing 2 Aepli, Matthias Daniel 1 Andoh, Charles 1 Baerenklau, Kenneth A. 1 Bayraktar, Sema 1 Bejaoui, Azza 1 Bellalah, Makram 1 Bouazizi, Tarek 1 Brio, Esther B. del 1 Brownlees, Christian 1 Burzala, Milda Maria 1
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Institution
All
Agricultural and Applied Economics Association - AAEA 1 Dipartimento di Scienze Economiche e Sociali, Facoltà di Economia "Giorgio Fuà" 1 Institut für Weltwirtschaft (IfW) 1
Published in...
All
Journal of international financial markets, institutions & money 3 Economic modelling 2 Economics Discussion Papers 2 Emerging markets review 2 FIW working paper 2 Finance research letters 2 International journal of economics and finance 2 International review of financial analysis 2 Journal of International Financial Markets, Institutions and Money 2 Journal of mathematical finance 2 Research in international business and finance 2 2014 Annual Meeting, July 27-29, 2014, Minneapolis, Minnesota 1 Annals of financial economics 1 Applied economics letters 1 Bank i kredyt 1 Borsa Istanbul Review 1 Cogent Economics & Finance 1 Cogent economics & finance 1 Dynamic Econometric Models 1 Econometric Institute research papers 1 Economic Modelling 1 Economic systems 1 Economics : the open-access, open-assessment e-journal 1 Economics Discussion Papers / Institut für Weltwirtschaft (IfW) 1 Emerging Markets Finance and Trade 1 Emerging markets finance & trade : a journal of the Society for the Study of Emerging Markets 1 Energy Economics 1 Energy economics 1 Finance a úvěr 1 Global business & economics review 1 IES Working Paper 1 IES working paper 1 International Advances in Economic Research 1 International Journal of Energy Economics and Policy 1 International Journal of Energy Economics and Policy : IJEEP 1 International Review of Financial Analysis 1 International economics and economic policy : IEEP 1 International journal of entrepreneurship and small business : IJESB 1 International journal of forecasting 1 International journal of strategic property management 1
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Source
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ECONIS (ZBW) 47 RePEc 14 EconStor 5
Showing 61 - 66 of 66
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How can a small country affect the European economy? : the Greek contagion phenomenon
Samitas, Aristeidis; Tsakalos, Ioannis - In: Journal of international financial markets, … 25 (2013), pp. 18-32
Persistent link: https://www.econbiz.de/10009762814
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Conditional correlations between stock index, investment grade yield, high yield and commodities (gold and oil) during stable and crisis periods
Tuysuz, Sukriye - In: International journal of economics and finance 5 (2013) 9, pp. 28-44
Persistent link: https://www.econbiz.de/10010190858
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Systemic risk measurement : multivariate GARCH estimation of CoVaR
Girardi, Giulio; Ergün, Tolga A. - In: Journal of banking & finance 37 (2013) 8, pp. 3169-3180
Persistent link: https://www.econbiz.de/10009778470
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Global financial crisis and emerging stock market contagion : a multivariate FIAPARCH–DCC approach
Dimitriou, Dimitrios; Kenourgios, Dimitris; Simos, Theodore - In: International review of financial analysis 30 (2013), pp. 46-56
Persistent link: https://www.econbiz.de/10010460000
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Dynamic Correlation Analysis of Asian Stock Markets
Hwang, Jae-Kwang - In: International Advances in Economic Research 18 (2012) 2, pp. 227-237
Persistent link: https://www.econbiz.de/10010867104
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Country pair-correlations as a measure of financial integration: the case of the Euro equity markets
CROCI, Manuela - Dipartimento di Scienze Economiche e Sociali, Facoltà … - 2004
In financial economics, co-movements between equity returns are generally interpreted as a measure of equity market integration. In line with this idea, the paper investigates whether the euro equity markets have become less segmented over the last decade referring to three different estimates...
Persistent link: https://www.econbiz.de/10005057082
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