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Displaying results 1 to 8 of 8.

  1. Default probabilities and default correlations
    Published: 2001
    Publisher:  Dt. Bank Research, Frankfurt am Main

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    Source: Union catalogues
    Language: English
    Media type: Book
    Format: Print
    DDC Categories: 330; 380; 650; 670
    Series: Research notes in economics & statistics ; [20]01,5 : Economics : Quantitative analysis
    Subjects: Kreditrisiko; Portfolio Selection; Optionspreistheorie; Theorie; Varianzanalyse; Korrelation
    Other subjects: (stw)Kreditrisiko; (stw)Portfolio-Management; (stw)Optionspreistheorie; (stw)Theorie; (stw)Varianzanalyse; (stw)Korrelation; Arbeitspapier; Graue Literatur
    Scope: 44 S., graph. Darst., 30 cm
  2. Returns to education and wage equations
    Published: 2001
    Publisher:  IZA, Bonn

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    Source: Union catalogues
    Language: English
    Media type: Book
    Format: Print
    DDC Categories: 300; 330
    Series: Discussion paper series / Forschungsinstitut zur Zukunft der Arbeit ; No. 298
    Subjects: Bildungsertrag; Lohnstruktur; Regressionsanalyse; Bildungsökonomie; Schätzung; Theorie; Varianzanalyse
    Other subjects: (stw)Bildungsertrag; (stw)Lohnstruktur; (stw)Regressionsanalyse; (stw)Bildungsökonomik; (stw)Schätzung; (stw)Theorie; (stw)Portugal; (stw)Varianzanalyse; Arbeitspapier; Graue Literatur
    Scope: 30 S., 21 cm
    Notes:

    Literaturverz. S. 19 - 24

  3. Default probabilities and default correlations
    Published: 2001
    Publisher:  Univ., Dep. of Economics, Heidelberg

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    Source: Union catalogues
    Language: English
    Media type: Book
    Format: Print
    DDC Categories: 330; 380; 650; 670
    Edition: Version: November 2001
    Series: Discussion paper series / Department of Economics ; No. 366
    Subjects: Kreditrisiko; Portfolio Selection; Optionspreistheorie; Theorie; Varianzanalyse; Korrelation
    Other subjects: (stw)Kreditrisiko; (stw)Portfolio-Management; (stw)Optionspreistheorie; (stw)Theorie; (stw)Varianzanalyse; (stw)Korrelation; Arbeitspapier; Graue Literatur
    Scope: 50 S., graph. Darst., 21 cm
  4. Measuring risk in value-at-risk in the presence of infinite variance
    Published: 1998
    Publisher:  TU, Fak. Wirtschaftswiss., Dresden

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    Source: Union catalogues
    Language: English
    Media type: Book
    Format: Print
    RVK Categories: QH 233
    DDC Categories: 330; 380; 650; 670
    Series: Dresdner Beiträge zu quantitativen Verfahren ; Nr. 25
    Subjects: Risiko; Theorie; Value at Risk; Varianzanalyse
    Other subjects: (stw)Risiko; (stw)Theorie; (stw)Risikomaß; (stw)Varianzanalyse; Graue Literatur
    Scope: 6 Bl., 30 cm
  5. A multiple factor model for European stocks
    Published: 2000
    Publisher:  Univ., Fachbereich Wirtschaftswiss., Frankfurt am Main

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    Content information
    Source: Union catalogues
    Language: English
    Media type: Book
    Format: Print
    DDC Categories: 330; 380; 650; 670
    Series: Working paper series / Johann Wolfgang Goethe-Universität Frankfurt, Fachbereich Wirtschaftswissenschaften : [...], Finance & accounting ; No. 57
    Subjects: Börsenkurs; Kapitalertrag; Finanzanalyse; Capital-Asset-Pricing-Modell; Schätzung; Theorie; Varianzanalyse
    Other subjects: (stw)Börsenkurs; (stw)Kapitaleinkommen; (stw)Finanzanalyse; (stw)CAPM; (stw)Schätzung; (stw)Theorie; (stw)Westeuropa; (stw)Varianzanalyse; Arbeitspapier; Graue Literatur
    Scope: 21 Bl., graph. Darst., 30 cm
  6. Income satisfaction inequality and its causes
  7. Zur Eignung von kovarianz- und varianzbasierten Verfahren zur Schätzung komplexer Strukturgleichungsmodelle
    Contributor: Huber, Frank (Mitwirkender)
    Published: 2005
    Publisher:  Center of Market-Oriented Product and Production Management, Mainz

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    Content information
    Source: Union catalogues
    Contributor: Huber, Frank (Mitwirkender)
    Language: German
    Media type: Book
    Format: Print
    ISBN: 9783980971102; 3980971104
    Other identifier:
    9783980971102
    Series: Wissenschaftliche Arbeitspapiere / Center of Market-Oriented Product and Production Management : F ; 1
    Subjects: Strukturgleichungsmodell; Schätztheorie; Varianzanalyse; Theorie
    Other subjects: (stw)Strukturgleichungsmodell; (stw)Schätztheorie; (stw)Varianzanalyse; (stw)Theorie; (VLB-FS)PLS; (VLB-PF)BC: Paperback; (VLB-WI)1: Hardcover, Softcover, Karte; (VLB-WG)786: Wirtschaft / Werbung, Marketing; Graue Literatur
    Scope: 48 Bl., graph. Darst., 30 cm
    Notes:

    Literaturverz. Bl. 44 - 48

  8. Realized Copula
    Published: 2012
    Publisher:  Humboldt-Universität zu Berlin, Berlin

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    Source: Union catalogues
    Language: English
    Media type: Book
    Format: Online
    Other identifier:
    Subjects: Kapitalertrag; Kopula <Mathematik>; Zeitreihenanalyse; Varianzanalyse; Theorie
    Other subjects: (stw)Kapitaleinkommen; (stw)Multivariate Verteilung; (stw)Zeitreihenanalyse; (stw)Varianzanalyse; (stw)Theorie; realized variance; realized covariance; realized copula; multivariate dependence; Arbeitspapier; Graue Literatur
    Scope: Online-Ressource
    Notes:

    In: Sonderforschungsbereich 649: Ökonomisches Risiko, Band 2012, Ausgabe 34, 2012