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1
Visualization
of
Chaos
for Finance Majors
Los, Cornelis A.
-
2003
process bifurcates, or, as colored
visualization
shows but not black-and-white, its pitchfork bifurcation branches quot … regime are windows of stability, e.g., at kappa=3+2sqrt=3.8284. At kappa=4, pure
chaos
, the process is extremely sensitive to …
Persistent link: https://www.econbiz.de/10012740649
Saved in:
2
The m-STAR Model as an Approach to Modeled, Dynamic, Endogenous Interdependence in Comparative & International Political Economy
Franzese, Robert J.
;
Hays, Jude C.
;
Kachi, Aya
-
2008
Even casual observation reveals obvious spatial patterns in labor-market outcomes and policies across the developed democracies, and within the European Union particularly. Labor-market policies entail significant cross-border spillovers, so strategic interdependence among developed democracies...
Persistent link: https://www.econbiz.de/10014216459
Saved in:
3
Business Development, Marketing Automation and Predictive Analysis : An Integration Perspective - An Overview Towards New Opportunities for Studying Consumer Behavior and Business Integration
Sestino, Andrea
-
2020
The exponential increase in data today derives from the big amount of interactions among consumers that spreads in social media, using mobile devices, IT, localization, historical data in purchase, data owned by companies, behavioral insights and so on through connected online devices and mobile...
Persistent link: https://www.econbiz.de/10014033098
Saved in:
4
Disentangling the Effects of Reputation and Network Position on the Evolution of Alliance Networks
Ebbers, Joris Jan
;
Wijnberg, Nachoem M.
-
2012
We use the panel data social network analysis program SIENA to estimate the effect of actor reputation derived from past performance on alliance formation, while controlling for other constant actor attributes, and network position. We distinguish between individual reputation based on the past...
Persistent link: https://www.econbiz.de/10014174260
Saved in:
5
Forecasting future oil production in Norway and the UK : a general improved methodology
Fiévet, Lucas
;
Forró, Zalán
;
Cauwels, Peter
; …
-
2014
We present a new Monte-Carlo methodology to forecast the crude oil production of Norway and the U.K. based on a two-step process, (i) the nonlinear extrapolation of the current/past performances of individual oil fields and (ii) a stochastic model of the frequency of future oil field...
Persistent link: https://www.econbiz.de/10010411857
Saved in:
6
The Analysis of the Core-Periphery Structure of Large Networks Combining Interval Value-Data Regression Approaches
Drago, Carlo
-
2018
Large networks call for approaches which allow to represent their relevant properties. One relevant approach can consider the decomposition of the defined networks in significant subgraphs as k-cores. So it is possible to identify the nodes which can have an important role on the network. In...
Persistent link: https://www.econbiz.de/10014110262
Saved in:
7
A real data-driven clustering approach for countries based on happiness score
Chakraborty, Aditya
;
Tsokos, Chris P.
- In:
Amfiteatru economic : an economic and business research …
23
(
2021
)
15
,
pp. 1031-1045
In machine learning and data science literature, clustering is the task of dividing the observations (data points) into several categories in such a way that data points falling into one group are being dissimilar than the data points falling to the other groups such that the variation within a...
Persistent link: https://www.econbiz.de/10012939999
Saved in:
8
Utilizing Topographic Finance to Understand Volatility (Presentation Slides)
Cottrell, Paul
-
2016
Topographic finance is the study of surfaces to describe financial systems in multiple dimensions. The problem with finance and economics is to describe accurately what is actually governing price dynamics. The price dynamics are behavioral and do not exhibit a rational maximization of a utility...
Persistent link: https://www.econbiz.de/10012996020
Saved in:
9
Statistical Tolerance Analysis and Fitting of Some Continuous Probability Distributions to the General Administration Management Component of the Capital Expenditure of the Bangalore Municipal Corporation
A., Sathyavathi
-
2023
We discuss the results of the statistical tolerance test of the General Administration Management component of the Capital Expenditure of the Bangalore Municipal Corporation which carries ahead our two previous connected studies (A. Sathyavathi (2023(a)), Analysis of the General Administration...
Persistent link: https://www.econbiz.de/10014353021
Saved in:
10
Outlier Identification Analysis of the General Administration Management Component of the Capital Expenditure of the Bangalore Municipal Corporation
A., Sathyavathi
-
2023
In continuation of our previous study (A. Sathyavathi (2023). Analysis of the General Administration Management Expenditure of the Bangalore Municipal Corporation https://www.ssrn.com/abstract=4403863 ; http://dx.doi.org/10.2139/ssrn.4403863 ) we propose to further analyze the sample of the...
Persistent link: https://www.econbiz.de/10014354075
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