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  • Search: subject:"probability: distributions"
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Year of publication
Subject
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probability distributions 49 probability 27 equation 25 probabilities 23 statistics 23 equations 21 correlation 20 Statistische Verteilung 18 Economic models 17 Statistical distribution 17 normal distribution 16 probability distribution 16 Probability theory 15 Wahrscheinlichkeitsrechnung 15 standard deviation 15 time series 15 Theorie 14 probability density 13 Theory 12 calibration 12 covariance 12 Probability distributions 11 correlations 11 stochastic process 11 forecasting 10 random variable 10 computation 9 integral 9 random variables 9 statistic 9 survey 9 optimization 8 samples 8 stochastic processes 8 Credit risk 7 cumulative distribution function 7 diffusion process 7 econometrics 7 normal distributions 7 number of parameters 7
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Online availability
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Free 60 Undetermined 43 CC license 1
Type of publication
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Article 55 Book / Working Paper 55
Type of publication (narrower categories)
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Article in journal 17 Aufsatz in Zeitschrift 17 Working Paper 13 Graue Literatur 6 Non-commercial literature 6 Arbeitspapier 5 Article 1 Hochschulschrift 1
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Language
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English 55 Undetermined 53 Czech 2
Author
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Chan-Lau, Jorge A. 5 Clements, Michael P. 5 Jasso, Guillermina 4 Mirkov, Nikola 4 Steinhauer, Andreas 4 Mainardi, Francesco 3 Malá, Ivana 3 Santos, Andre 3 Carnero, María Carmen 2 García, Juan Angel 2 Gorenflo, Rudolf 2 Kozubowski, Tomasz J. 2 Krichene, Noureddine 2 Lu, Yong-Zai 2 Manzanares, Andrés 2 Mao, Wei-Jie 2 Mazur, Stepan 2 Meyer, Brent H. 2 Mizrach, Bruce 2 Paradisi, Paolo 2 Parker, Nicholas B. 2 Podgórski, Krzysztof 2 Sheng, Xuguang 2 Utkin, Lev V. 2 Zeng, Guo-Qiang 2 Aase, Knut K. 1 Abdul-Sathar, E. 1 Aliprantis, Charalambos D. 1 Allen C. Miller, III 1 Altmann, Gabriel 1 Amin, Saurabh 1 Angelidis, Panagiotis 1 Asghar, Zahid 1 Avesani, Renzo G. 1 Bagnoli, Mark 1 Barakat, Bilal 1 Barakat, Bilal Fouad 1 Barnhill, Theodore M. 1 Basurto, Miguel A. Segoviano 1 Berg, Joyce E. 1
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Institution
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International Monetary Fund (IMF) 27 Department of Economics, University of Warwick 3 International Monetary Fund 3 Institute for the Study of Labor (IZA) 2 Department of Economics, Rutgers University-New Brunswick 1 European Central Bank 1 HAL 1 Institut für Volkswirtschaftslehre, Wirtschaftswissenschaftliche Fakutät 1 Institutt for foretaksøkonomi, Norges Handelshøyskole (NHH) 1 International Food Policy Research Institute (IFPRI) 1 MASTER CONSULTORES 1 School of Economics, Business School 1 Volkswirtschaftliche Fakultät, Ludwig-Maximilians-Universität München 1
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Published in...
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IMF Working Papers 25 Physica A: Statistical Mechanics and its Applications 8 IZA Discussion Papers 4 Management Science 4 Metrika 4 Working Paper 4 The Warwick Economics Research Paper Series (TWERPS) 3 Decision analysis : a journal of the Institute for Operations Research and the Management Sciences, INFORMS 2 IMF Staff Country Reports 2 International Journal of Data Analysis Techniques and Strategies 2 Statistics & Probability Letters 2 Water Resources Management 2 Acta Oeconomica Pragensia 1 Acta oeconomica Pragensia : vědecký časopis Vysoke Školy Ekonomické v Praze 1 African journal of science, technology, innovation and development : AJSTID 1 Agricultural Systems 1 Annals of the Institute of Statistical Mathematics 1 Annals of the University of Petrosani, Economics 1 Computational Statistics 1 Decisions in economics and finance : a journal of applied mathematics 1 Departmental Working Papers / Department of Economics, Rutgers University-New Brunswick 1 Discussion Papers / Institutt for foretaksøkonomi, Norges Handelshøyskole (NHH) 1 Dissertation Series CentER 1 ECB Working Paper 1 ECON - Working Papers 1 Econometrics 1 Econometrics : open access journal 1 Economic Theory 1 Economics Bulletin 1 Estudios de Economía Aplicada 1 European Economic Review 1 European Journal of Industrial Engineering 1 European journal of industrial engineering : EJIE 1 IFPRI discussion papers 1 INFORMS journal on computing : JOC ; charting new directions in operations research and computer science ; a journal of the Institute for Operations Research and the Management Sciences 1 International journal of forecasting 1 International journal of operations and quantitative management : IJOQM 1 Investment management and financial innovations 1 Journal of Educational and Behavioral Statistics 1 Journal of Environmental Assessment Policy and Management (JEAPM) 1
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Source
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RePEc 78 ECONIS (ZBW) 23 EconStor 9
Showing 71 - 80 of 110
Did you mean: subject:"probability: distribution" (8,856 results)
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The bakery
Jance, Marsha - In: Journal of business case studies 9 (2013) 6, pp. 415-427
Persistent link: https://www.econbiz.de/10010230156
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Použití konečných směsí pravděpodobnostních rozdělení pro modelování rozdělení doby nezaměstnanosti v Česke Republice
Malá, Ivana - In: Acta oeconomica Pragensia : vědecký časopis Vysoke … 21 (2013) 5, pp. 47-63
Persistent link: https://www.econbiz.de/10010400367
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Measuring and Analyzing Sovereign Risk with Contingent Claims
Gapen, Michael T.; Gray, Dale F.; Lim, Cheng Hoon; … - International Monetary Fund (IMF) - 2005
This paper develops a comprehensive new framework to measure and analyze sovereign risk. Since traditional macroeconomic vulnerability indicators and accounting-based measures do not address risk in a comprehensive and forward-looking way, the contingent claims approach is used to construct a...
Persistent link: https://www.econbiz.de/10005605090
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Subordinated Levy Processes and Applications to Crude Oil Options
Krichene, Noureddine - International Monetary Fund (IMF) - 2005
One approach to oil markets is to treat oil as an asset, besides its role as a commodity. Speculative and nonspeculative activity by investors in the derivatives markets could be responsible for a sizable increase in oil prices. This paper recognizes both the consumption and investment aspects...
Persistent link: https://www.econbiz.de/10005605320
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The End; A New Indicator of Financial and Nonfinancial Corporate Sector Vulnerability
Chan-Lau, Jorge A.; Gravelle, Toni - International Monetary Fund (IMF) - 2005
This paper describes a corporate sector vulnerability indicator, the expected number of defaults (END), based on the joint occurrence of defaults among a number of firms and/or institutions. The END indicator is general enough to assess systemic risk in the corporate and financial sectors, as...
Persistent link: https://www.econbiz.de/10005264155
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Bivariate Flood Frequency Analysis of Upper Godavari River Flows Using Archimedean Copulas
Reddy, M.; Ganguli, Poulomi - In: Water Resources Management 26 (2012) 14, pp. 3995-4018
probability distributions are examined and the best fit model is adopted for copula modeling. Four Archimedean family of copulas …
Persistent link: https://www.econbiz.de/10010794192
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Computation of Drought Index SPI with Alternative Distribution Functions
Angelidis, Panagiotis; Maris, Fotios; Kotsovinos, Nikos; … - In: Water Resources Management 26 (2012) 9, pp. 2453-2473
-normal probability distributions was studied. For this purpose, 19 time series of monthly precipitation of 76 years were used, and the …
Persistent link: https://www.econbiz.de/10010997536
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A Bayesian Approach to Model Uncertainty
Tsangarides, Charalambos G. - International Monetary Fund (IMF) - 2004
This paper develops the theoretical background for the Limited Information Bayesian Model Averaging (LIBMA). The proposed approach accounts for model uncertainty by averaging over all possible combinations of predictors when making inferences about the variables of interest, and it...
Persistent link: https://www.econbiz.de/10005264140
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Bayesian Vars; A Survey of the Recent Literature with An Application to the European Monetary System
Ciccarelli, Matteo; Rebucci, Alessandro - International Monetary Fund (IMF) - 2003
This paper reviews recent advances in the specification and estimation of Bayesian Vector Autoregressive models (BVARs). After describing the Bayesian principle of estimation, we first present the methodology originally developed by Litterman (1986) and Doan et al. (1984) and review alternative...
Persistent link: https://www.econbiz.de/10005825693
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Assessing Fiscal Sustainability Under Uncertainity
Barnhill, Theodore M.; Kopits, George - International Monetary Fund (IMF) - 2003
Unlike conventional fiscal sustainability assessments, the Value-at-Risk approach developed in this paper explicitly captures the contribution of key risk variables to public sector vulnerability. In an illustrative application to Ecuador, the VaR approach confirms a significant risk of...
Persistent link: https://www.econbiz.de/10005826365
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