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subject:"Risikomaß"
type_genre:"Working Paper"
~isPartOf:"Bank of Japan working paper series"
~isPartOf:"Discussion paper / Centre for Economic Policy Research"
~isPartOf:"HKIMR working paper"
~isPartOf:"Staff working papers / Bank of England"
~person:"Fong, Tom"
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Risikomaß
Aktienmarkt
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Asia-Pacific region
1
Asiatisch-pazifischer Raum
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Emerging economies
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Risikomanagement
1
Risk management
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Risk measure
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Schock
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Schwellenländer
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Shock
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Spillover effect
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Spillover-Effekt
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Spillovers
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Stock market
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VAR model
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VAR-Modell
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Volatility
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Volatilität
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emerging markets
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tail risk
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vector autoregression
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Fong, Tom
Stoja, Evarist
3
Polanski, Arnold
2
Adrian, Tobias
1
Chiu, Ching Wai Jeremy
1
Harris, Richard D. F.
1
Ho, Ho Cheung
1
Li, Ka Fai
1
Lloyd, Simon
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Manuel, Ed
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Nguyen, Linh
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Panchev, Konstantin
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Pesaran, M. Hashem
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So, Jacky C.
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Tony U
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Yoshiba, Toshinao
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Bank of Japan working paper series
Discussion paper / Centre for Economic Policy Research
HKIMR working paper
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ECONIS (ZBW)
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Tail risk spillover in Asia Pacific stock market
Fong, Tom
;
Li, Ka Fai
;
Ho, Ho Cheung
-
2017
Persistent link: https://www.econbiz.de/10012201625
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