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subject:"ARCH model"
~type_genre:"Book section"
~type_genre:"Case study"
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Search: subject_exact:"Kapitalgewinn"
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ARCH model
Capital income
862
Kapitaleinkommen
862
Börsenkurs
254
Share price
254
Theorie
187
Theory
187
Portfolio selection
152
Portfolio-Management
152
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151
Estimation
126
Schätzung
126
Volatility
120
Volatilität
120
USA
110
United States
110
CAPM
96
Forecasting model
77
Prognoseverfahren
77
Welt
57
World
57
Risikoprämie
54
Risk premium
54
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52
Anlageverhalten
51
Behavioural finance
51
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51
ARCH-Modell
48
Deutschland
46
Emerging economies
46
Germany
46
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46
Investmentfonds
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Schwellenländer
46
Financial market
39
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32
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21
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8
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3
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48
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Ñíguez, Trino-Manuel
3
Perote, Javier
2
Rubia, Antonio
2
Algaba, Andres
1
Aloy, Marcel
1
Amado, Cristina
1
Andrianov, Dmitry
1
Anoop, Patil
1
Babaev, Mamed
1
Basher, Syed Abul
1
Batten, Jonathan A.
1
Ben Ameur, Hachmi
1
BenMabrouk, Houda
1
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1
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1
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1
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1
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1
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1
Cheffou, Abdoulkarim Idi
1
Chuangchid, K.
1
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1
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1
Faff, Robert W.
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Fiszeder, Piotr
1
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1
Fry, Tim R. L.
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Genton, Marc G.
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1
Harvey, Andrew C.
1
Hassan, M. Kabir
1
Hepsag, Aycan
1
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Australasian accounting business and finance journal : AABF
2
Quantitative financial risk management
2
Stock returns : cyclicity, prediction and economic consequences
2
The European journal of finance
2
Advances in Management Research : Emerging Challenges and Trends
1
Advances in risk management
1
Annals of operations research ; volume 284, numbers 1 (January 2020)
1
Business Development and Economic Governance in Southeastern Europe : 13th International Conference on the Economies of the Balkan and Eastern European Countries (EBEEC), Pafos, Cyprus, 2021
1
Business and finance : performance and management
1
Business research : an illustrative guide to practical methodological applications in selected case studies
1
Capital markets in Central and Eastern Europe : [papers included in this book were presented at the conference 'Capital Markets in Emerging Economies - Central and Eastern Europe' that was held in Vienna at the Institute for Advanced Studies, February 14-15, 1997]
1
Cryptocurrencies in all aspects
1
Decision making and risk/return optimization in financial economics
1
East European transition and EU enlargement : a quantitative approach ; with 105 tables
1
Econometric analysis of financial and economic time series ; part a
1
Econometric modelling of issues in Caribbean economics and finance
1
Economic challenges of pension systems : a sustainability and international management perspective
1
Economic forecasting
1
Emerging markets : identification, new developments and investments
1
Emerging markets finance & trade : a journal of the Society for the Study of Emerging Markets
1
Encyclopedia of economics research ; Vol. 2
1
Energy economics
1
Essays in nonlinear time series econometrics
1
Evoluation of money, banking and financial crisis : history, theory and policy
1
Financial Market Dynamics after COVID 19 : The Contagion Effect of the Pandemic in Finance
1
Financial econometrics and empirical market microstructure
1
Financial modeling and risk management of energy and environmental instruments and derivates
1
Forecasting volatility in the financial markets
1
Fractal approaches for modeling financial assets and predicting crises
1
Global strategies in banking and finance
1
Handbook of research on emerging theories, models, and applications of financial econometrics
1
Indian journal of economics & business : IJEB
1
Interdisciplinary public finance, business and economics studies ; Volume 1
1
International journal of economics and financial issues : IJEFI
1
International review of economics & finance : IREF
1
Islamic perspectives on sustainable development
1
Journal of multinational financial management
1
Nonlinear time series analysis of business cycles
1
Papers in efficiency, effectiveness and international competitiveness
1
Recent econometric techniques for macroeconomic and financial data
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ECONIS (ZBW)
48
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41
A multivariate skew-garch model
Luca, Giovanni de
;
Genton, Marc G.
;
Loperfido, Nicola
-
2006
Persistent link: https://www.econbiz.de/10003331366
Saved in:
42
Return volatility, predictability and dynamic relationships in the stock markets of the member countries of the Organization of Islamic Conference
Hassan, M. Kabir
- In:
Islamic perspectives on sustainable development
,
(pp. 185-221)
.
2005
Persistent link: https://www.econbiz.de/10003105433
Saved in:
43
Looking for the pattern of GARCH type models in Polish stock exchange returns : comparison with indices of the EU and the East European stock markets
Fiszeder, Piotr
;
Románski, Jerzy
- In:
East European transition and EU enlargement : a …
,
(pp. 355-369)
.
2002
Persistent link: https://www.econbiz.de/10001686532
Saved in:
44
Forecasting intra-day return volatility using ultra-high-frequency GARCH : does the duration model matter?
Hujer, Reinhard
;
Grammig, Joachim
-
2001
Persistent link: https://www.econbiz.de/10014553638
Saved in:
45
Market risk under a price limit regime : evidence for Chinese stock markets
Friedmann, Ralph
;
Sanddorf-Köhle, Walter G.
-
2001
Persistent link: https://www.econbiz.de/10014553639
Saved in:
46
GARCH modeling of individual stock data : the impact of censoring, firm size and trading volume
Brooks, Robert
;
Faff, Robert W.
;
Fry, Tim R. L.
- In:
Papers in efficiency, effectiveness and international …
,
(pp. 141-151)
.
2000
Persistent link: https://www.econbiz.de/10001586273
Saved in:
47
Modeling Polish stock returns
Scheicher, Martin
- In:
Capital markets in Central and Eastern Europe : [papers …
,
(pp. 417-437)
.
1999
Persistent link: https://www.econbiz.de/10001424276
Saved in:
48
The GARCH and volume relationship with heteroscedasticity in stock returns on the Jamaica Stock Exchange
Hamilton, Jacqueline
- In:
Econometric modelling of issues in Caribbean economics …
,
(pp. 33-65)
.
1998
Persistent link: https://www.econbiz.de/10001437539
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