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The Paper analyses both the Conference Board as well as the OECD Leading Indicators concerning their forecasting properties of overall economic activity. For this purpose the two indicators are introduced separately and several in-sample and out-of-sample tests are being conducted. The main...
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We analyze macroeconomic data using univariate and multivariate forecast combining techniques. We simulate forecast errors with different variance-covariance structures. The simulations are used to compare the performance of univariate and multivariate combining techniques.
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During the past thirty years, there has been considerable concern about combination of forecasts. Many of the articles and books dedicated to this specific area explain and demonstrate that combining multiple individual forecasts can improve forecast accuracy. The improvement in accuracy mainly...
Persistent link: https://www.econbiz.de/10010316480
Die finanzwirtschaftliche Bedeutung von Kreditausfällen und Kreditausfall- Prognosen bedarf keiner weiteren Begründung. Dieser Bedeutung angemessen, gibt es inzwischen eine Vielzahl von Modellen und Verfahren, die Ausfallwahrscheinlichkeiten von Bankkrediten oder Industrieanleihen zu...
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We simulate forecast errors with different variance-covariance structures based on macroeconomic data. The simulations are used to compare the performance of different forecast combining techniques.
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Econometric models are a widely used and powerful tool in macroeconomic analysis and forecasting. Admittedly, their acceptance by the scientific community has had some hard times during the seventies and eighties: a general decline in the reputation of macroeconomics, the Lucas critique, and...
Persistent link: https://www.econbiz.de/10010316527