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  • Search: subject:"mixture of distributions hypothesis"
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Year of publication
Subject
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mixture of distributions hypothesis 5 Trading volume 4 Volatility 4 mixture-of-distributions hypothesis 4 Börsenkurs 3 Capital income 3 Kapitaleinkommen 3 Share price 3 Volatilität 3 continuous-time models 3 financial-time sampling 3 high-frequency data 3 jumps 3 leverage and volatility feedback effects 3 realized volatilities 3 volatility signature plots 3 ARCH model 2 ARCH-Modell 2 Estimation 2 Handelsvolumen der Börse 2 Schätzung 2 bivariate extremal dependence 2 extreme returns 2 market crashes 2 return distributions 2 return-volume dependence 2 trading volume 2 ARCH (GARCH) 1 ARCH and GARCH effects 1 Aktienmarkt 1 American Depository Receipt 1 Ankündigungseffekt 1 Anlageverhalten 1 Announcement effect 1 Behavioural finance 1 Börse 1 CAPM 1 Capital Asset Pricing Model 1 Causality 1 Chinese ADRs 1
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Online availability
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Free 7 Undetermined 2
Type of publication
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Book / Working Paper 8 Article 4
Type of publication (narrower categories)
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Article in journal 3 Aufsatz in Zeitschrift 3 Thesis 1 Working Paper 1
Language
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English 7 Undetermined 5
Author
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Andersen, Torben G. 3 Bollerslev, Tim 3 Nielsen, Morten Ørregaard 3 Frederiksen, Per 2 Marsh, Terry A. 2 Wagner, Niklas 2 Bose, Shekar 1 Frederiksen, Per Houmann 1 Ghosh, Dipak 1 Gökçen, Umut 1 Kostov, Philip 1 Kumar, Brajesh 1 McErlean, Seamus 1 Pandey, Ajay 1 Post, Thierry 1 Rahman, Hafizur 1 Senarathne, Chamil W 1 Singh, Priyanka 1 Smith, Geoffrey Peter 1 Wang, Chaoyan 1 Wei, Jianguo 1 Wu, Ziping 1
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Institution
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EconWPA 2 Economics Department, Queen's University 1 Institute of Business and Economic Research (IBER), Walter A. Haas School of Business 1 School of Economics and Management, University of Aarhus 1 eSocialSciences 1
Published in...
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Applied economics 1 CREATES Research Papers 1 Econometrics 1 Finance 1 Finance Research Letters 1 Queen's Economics Department Working Paper 1 Research Program in Finance, Working Paper Series 1 Romanian journal of economic forecasting 1 The European journal of finance 1 Working Papers / Economics Department, Queen's University 1 Working Papers / eSocialSciences 1
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Source
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RePEc 7 ECONIS (ZBW) 3 BASE 1 EconStor 1
Showing 11 - 12 of 12
Cover Image
Do Chinese stock markets share common information arrival processes?
Kostov, Philip; Wu, Ziping; McErlean, Seamus - EconWPA - 2004
According to the Mixture of Distributions Hypothesis (MDH), returns volatility and trading volume are driven by a …
Persistent link: https://www.econbiz.de/10005407887
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Cover Image
Return-Volume Dependence and Extremes in International Equity Markets
Marsh, Terry A.; Wagner, Niklas - EconWPA - 2004
This paper reconsiders return-volume dependence for the U.S. and six international equity markets. We contribute to previous work by proposing surprise volume as a new proxy for private information flow and apply extreme value theory in studying dependence for large volume and return, i.e. under...
Persistent link: https://www.econbiz.de/10005134862
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