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  • Search: isPartOf:"Technische Universität Braunschweig - Institut für Fionanzwirtschaft - Working Papers"
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Prognose 1 Value at Risk 1 Volatilität 1
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Gürtler, Marc 1 Rauh, Ronald 1
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Institut für Finanzwirtschaft <Braunschweig> 1
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Technische Universität Braunschweig - Institut für Fionanzwirtschaft - Working Papers 1 Working Paper Series 1
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USB Cologne (business full texts) 1
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Did you mean: isPartOf:"Technische Universität Braunschweig - Institut für finanzwirtschaft - Working Papers" (8 results)
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Shortcomings of a Parametric VaR Approach and Nonparametric Improvements Based on a Non-stationary Return Series Model
Gürtler, Marc; Rauh, Ronald - Institut für Finanzwirtschaft <Braunschweig> - 2009
In this paper we first investigate the validity of a general Value at Risk approach, which iswidely used for risk management in banking and insurance companies. We discuss and widely rejectthe conventional assumptions, e.g. independent identically distributed normal returns, and as...
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