Measuring and forecasting volatility of financial assets
Market analysis and assess regulation policies. Pre-crisis and post-crisis windows definition. Forecast comparison for standalone models. Rolling regression with dynamic forecast for models. Realized Volatility, Bipower Variation. Combination of models.
Рубрика | Экономика и экономическая теория |
Предмет | Economy |
Вид | дипломная работа |
Язык | английский |
Прислал(а) | Аля |
Дата добавления | 28.08.2016 |
Размер файла | 862,9 K |
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