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Handbook of financial time series
9
Forecasting volatility in the financial markets
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Econometric analysis of financial and economic time series ; part a
7
Applied quantitative finance
5
Stock market volatility
5
Uncertainty analysis in econometrics with applications : [This volume contains papers presented at TES 2013 - The Sixth International Conference of the Thailand Econometric Society, which is held in Chiang Mai, Thailand, during January 10th - 11th, 2013 ...]
5
Econometric analysis of financial and economic time series ; part B
4
Handbook of research on emerging theories, models, and applications of financial econometrics
4
Robustness in econometrics
4
Contributions to financial econometrics : theoretical and practical issues
3
OPEC, oil prices and LNG
3
Risk management decisions and value under uncertainty
3
Advances in Management Research : Emerging Challenges and Trends
2
Asia-Pacific financial markets : integration, innovation and challenges
2
Asymmetric dependence in finance : diversification, correlation and portfolio management in market downturns
2
Behavioral Finance and Asset Prices : The Influence of Investor's Emotions
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China's rise and internationalization : regional and global challenges and impacts
2
Contemporary issues in business economics and finance
2
Decision making and risk/return optimization in financial economics
2
Dynamic optics in economics : quantitative, experimental and econometric analyses
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East European transition and EU enlargement : a quantitative approach ; with 105 tables
2
Essays in nonlinear time series econometrics
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Essays on Random Effects models and GARCH
2
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2
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Financial Market Dynamics after COVID 19 : The Contagion Effect of the Pandemic in Finance
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Financial mathematics, volatility and covariance modelling
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Financial modeling and risk management of energy and environmental instruments and derivates
2
Fractal approaches for modeling financial assets and predicting crises
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Handbook of economic forecasting ; Vol. 1
2
Handbook of frontier markets : evidence from Mittle East North Africa and International Comparative Studies
2
Handbook of research methods and applications in empirical finance
2
Macromodels '99 : proceedings of the twenty six International Conference, december 1 - 4, 1999, Rydzyna - Poland
2
Mathematical and statistical methods in insurance and finance : [MAF2006 Conference, organized at the University of Salerno ; at the Campus of Fisciano]
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Maximum likelihood estimation of misspecified models : twenty years later
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New directions in macromodelling
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Operations research models in banking management
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Progress in financial markets research
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Quantitative analysis in financial markets ; [Vol. 1]
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ECONIS (ZBW)
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Private information from extreme price movements (empirical evidences from Southeast Asia countries)
Arief, Usman
;
Husodo, Zaäfri Ananto
- In:
Recent developments in Asian economics : international …
,
(pp. 221-242)
.
2021
Persistent link: https://www.econbiz.de/10012804498
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2
Short-horizon market efficiency, order imbalance, and speculative trading : evidence from the Chinese stock market
Hu, Yingyi
- In:
Decision making and risk/return optimization in …
,
(pp. 253-274)
.
2019
Persistent link: https://www.econbiz.de/10012134804
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3
How does the entropy function explain the distribution of high-frequency data?
Moriya, Hiroyuki
- In:
Digital Designs for Money, Markets, and Social Dilemmas
,
(pp. 363-383)
.
2022
Persistent link: https://www.econbiz.de/10013363391
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4
Information leadership and volatility spillover across the countries : a case of Indian and other Asian equity markets
Mukherjee, Kedar nath
;
Mishra, Ram Kumar
-
2007
Persistent link: https://www.econbiz.de/10003753547
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5
Time dependent relative risk aversion
Giacomini, Enzo
;
Handel, Michael
;
Härdle, Wolfgang
- In:
Risk assessment : decisions in banking and finance
,
(pp. 15-46)
.
2008
Persistent link: https://www.econbiz.de/10003781602
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6
Identifying a source of financial volatility
Steigerwald, Douglas G.
;
Vagnoni, Richard J.
- In:
Identification and inference for econometric models : …
,
(pp. 121-145)
.
2005
Persistent link: https://www.econbiz.de/10003351927
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7
Margin requirements with intraday dynamics
Cotter, John
;
Longin, François M.
- In:
Transparency governance and markets
,
(pp. 295-322)
.
2006
Persistent link: https://www.econbiz.de/10003359724
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8
Return and volatility spillovers from developed to emerging capital markets: the case of South Asia
Wang, Yun
;
Gunasekarage, Abeyratna
;
Power, David M.
- In:
Asia Pacific financial markets in comparative …
,
(pp. 139-166)
.
2005
Persistent link: https://www.econbiz.de/10003282332
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9
A predictive comparison of some simple long- and short memory models of daily US stock returns, with emphasis on business cycle effects
Bhardwaj, Geetesh
;
Swanson, Norman R.
- In:
Nonlinear time series analysis of business cycles
,
(pp. 379-405)
.
2006
Persistent link: https://www.econbiz.de/10003309394
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10
A flexible dynamic correlation model
Baur, Dirk
-
2006
Persistent link: https://www.econbiz.de/10003331350
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