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  • Search: subject:"Model Combination"
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Year of publication
Subject
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model combination 29 Prognoseverfahren 23 Forecasting model 22 Model combination 21 Theorie 19 Theory 18 forecasting 10 Bayes-Statistik 6 Forecasting 6 Model Combination 6 Model uncertainty 6 Modellierung 6 Scientific modelling 6 Time series analysis 6 Zeitreihenanalyse 6 panel data 6 Bayesian inference 4 Estimation 4 GARCH 4 Schätzung 4 Statistical distribution 4 Statistische Verteilung 4 current account 4 model uncertainty 4 ARCH-Modell 3 Density forecasting 3 Empirical heterogeneous agent model 3 Exchange rate 3 Financial crisis 3 Financial market 3 Finanzkrise 3 Finanzmarkt 3 KLIC 3 Kapitaleinkommen 3 Markov mixture 3 Portfolio selection 3 Portfolio-Management 3 Regression analysis 3 Regressionsanalyse 3 Spatial Prior 3
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Online availability
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Free 30 Undetermined 24
Type of publication
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Book / Working Paper 30 Article 29
Type of publication (narrower categories)
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Article in journal 22 Aufsatz in Zeitschrift 22 Working Paper 13 Arbeitspapier 6 Graue Literatur 6 Non-commercial literature 6 Thesis 1
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Language
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English 43 Undetermined 16
Author
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Chudik, Alexander 5 Dieppe, Alistair 5 Jore, Anne Sofie 5 Smith, Christie 5 Thorsrud, Leif Anders 5 Ca' Zorzi, Michele 4 Geweke, John 4 Amisano, Gianni 3 Buncic, Daniel 3 Eckert, Florian 3 Fawcett, N. 3 Gerdrup, Karsten R. 3 Kapetanios, George 3 Mitchell, James 3 Mühlebach, Nina 3 Piras, Gion Donat 3 Price, Simon 3 Adler, Konrad 2 Gerdrup, Karsten 2 Grisse, Christian 2 Kessy, Salvatory R. 2 Maasoumi, Esfandiar 2 Medeiros, Marcelo C. 2 O'Doherty, Michael 2 Papadopoulos, Georgios 2 Petropoulos, Fotios 2 Savin, N. Eugene 2 Sherris, Michael 2 Tiwari, Ashish 2 Villegas, Andrés M. 2 Ziveyi, Jonathan 2 Barrow, Devon K. 1 Bengio, Yoshua 1 Bergmeir, Christoph 1 Bjørnland, Hilde 1 Bjørnland, Hilde C. 1 Bjørnland, Hilde Christiane 1 Bradley, Jonathan 1 Busetti, Fabio 1 Ca’ Zorzi, Michele 1
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Institution
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European Central Bank 3 Norges Bank 2 Banca d'Italia 1 Bank of England 1 Centre Interuniversitaire de Recherche en Analyse des Organisations (CIRANO) 1 Crawford School of Public Policy, Australian National University 1 Departamento de Economia, Pontifícia Universidade Católica do Rio de Janeiro 1 Hong Kong Monetary Authority 1 Rimini Centre for Economic Analysis (RCEA) 1 School of Economics and Political Science, Universität St. Gallen 1 Schweizerische Nationalbank (SNB) 1 Society for Computational Economics - SCE 1
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Published in...
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ECB Working Paper 3 Working Paper Series / European Central Bank 3 International journal of forecasting 2 Management science : journal of the Institute for Operations Research and the Management Sciences 2 Working Paper 2 Working Paper / Norges Bank 2 Annals of actuarial science : publ. by the Institute of Actuaries and the Faculty of Actuaries 1 Applied economics quarterly 1 Bank of England working papers 1 CAMA Working Papers 1 CAMA working paper series 1 CIRANO Working Papers 1 Central European journal of operations research : CEJOR ; official journal of the Austrian, Croatian, Czech, Hungarian, Slovakian and Slovenian OR Societies 1 Computational economics 1 Computing in Economics and Finance 2004 1 Discussion paper / Universität St. Gallen, Volkswirtschaftliche Abteilung ; School of Economics and Political Science, Department of Economics 1 Econometric Reviews 1 Econometric reviews 1 Economic research 1 Economics Working Paper Series / School of Economics and Political Science, Universität St. Gallen 1 Empirical economics : a quarterly journal of the Institute for Advanced Studies 1 European journal of operational research : EJOR 1 Japan and the world economy : international journal of theory and policy 1 Journal of Global Optimization 1 Journal of International Money and Finance 1 Journal of econometrics 1 Journal of financial econometrics : official journal of the Society for Financial Econometrics 1 Journal of international money and finance 1 Journal of time series econometrics 1 KOF Working Papers 1 KOF working papers 1 Quantitative finance 1 Renewable Energy 1 Review of finance : journal of the European Finance Association 1 Risk management : a journal of risk, crisis and disaster 1 SNB working papers 1 Scandinavian actuarial journal 1 Swiss Finance Institute Research Paper Series 1 TEST: An Official Journal of the Spanish Society of Statistics and Operations Research 1 Temi di discussione (Economic working papers) 1
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Source
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ECONIS (ZBW) 29 RePEc 22 EconStor 7 BASE 1
Showing 21 - 30 of 59
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Exploring the sources of uncertainty : why does bagging for time series forecasting work?
Petropoulos, Fotios; Hyndman, Rob J.; Bergmeir, Christoph - In: European journal of operational research : EJOR 268 (2018) 2, pp. 545-554
Persistent link: https://www.econbiz.de/10011852628
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Difference or not to difference an integrated time series? : an empirical investigation
Yip, Chee Yin; Lim, Hock Eam; Duan, Hongbo - In: Economic research 31 (2018) 1,2, pp. 1382-1403
Persistent link: https://www.econbiz.de/10012391490
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Thousands of models, one story: current account imbalances in the global economy
Chudik, Alexander; Dieppe, Alistair; Ca' Zorzi, Michele - 2012
The global financial crisis has led to a revival of the empirical literature on current account imbalances. This paper contributes to that literature by investigating the importance of evaluating model and parameter uncertainty prior to reaching any firm conclusion. We explore three alternative...
Persistent link: https://www.econbiz.de/10011605486
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Thousands of models, one story: current account imbalances in the global economy
Chudik, Alexander; Dieppe, Alistair; Ca' Zorzi, Michele - European Central Bank - 2012
The global financial crisis has led to a revival of the empirical literature on current account imbalances. This paper contributes to that literature by investigating the importance of evaluating model and parameter uncertainty prior to reaching any firm conclusion. We explore three alternative...
Persistent link: https://www.econbiz.de/10010686862
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Model Confidence Sets and forecast combination
Samuels, Jon D.; Sekkel, Rodrigo - In: International journal of forecasting 33 (2017) 1, pp. 48-60
Persistent link: https://www.econbiz.de/10011754683
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A model combination approach to developing robust models for credit risk stress testing : an application to a stressed economy
Papadopoulos, Georgios - In: The journal of risk model validation 11 (2017) 1, pp. 49-72
Persistent link: https://www.econbiz.de/10011671179
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Hedge fund replication : a model combination approach
O'Doherty, Michael; Savin, N. Eugene; Tiwari, Ashish - In: Review of finance : journal of the European Finance … 21 (2017) 4, pp. 1767-1804
Persistent link: https://www.econbiz.de/10011804356
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Evaluating hedge funds with pooled benchmarks
O'Doherty, Michael; Savin, N. Eugene; Tiwari, Ashish - In: Management science : journal of the Institute for … 62 (2016) 1, pp. 69-89
Persistent link: https://www.econbiz.de/10011432924
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Heterogeneous agents, the financial crisis and exchange rate predictability
Buncic, Daniel; Piras, Gion Donat - In: Journal of international money and finance 60 (2016), pp. 313-359
Persistent link: https://www.econbiz.de/10011660890
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A multiple DSGE-VAR approach : priors from a combination of DSGE models and evidence from Japan
Iiboshi, Hirokuni - In: Japan and the world economy : international journal of … 40 (2016), pp. 1-8
Persistent link: https://www.econbiz.de/10011700706
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