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trends in ethane and modeling the inter-annual variability, this paper aims at forecasting the atmospheric ethane burden … complicates the analysis and limits the availability of appropriate forecasting methods. In this paper, we propose five distinct …
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Measuring and modeling financial volatility is the key to derivative pricing, asset allocation and risk management.The recent availability of high-frequency data allows for refined methods in this field.In particular, more precise measures for the daily or lower frequency volatility can be...
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methodology has been developed for short-run forecasting and it is questionable whether these methods are useful for the medium …
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