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Titolo Anno Autore file(s)
Alternative Closures for an Open Economy Model in a Stock and Flow= Consistent Framework: The Case of Central America 6-lug-2017 Baltodano Lopez, Ovielt Antonio
Analisi del rischio di contagio finanziario con modelli a correlazione dinamica: evidenze sui CDS Spreads degli Stati sovrani 17-giu-2013 Florian, Giovanni
Analisi del rischio sistemico con un approccio di teoria dei network a frequenza multipla 29-feb-2016 Manfrin, Riccardo
Analisi econometrica della “Survey of Professional Forecasters” per gli Stati Uniti 1-lug-2016 Del Tedesco, Virginia
Analysis of systemic risk through entropy measures 29-giu-2015 Oudghir, Mouad
Application of BART to Fama&French asset pricing model 24-ott-2022 Behluli, Rigers
The Application of Neural Network to predict Stock Index Price 12-lug-2021 Nguyen, Tri Nhan
applying Markov Chain switching model to Systemic Risk measures 29-giu-2015 Elidrissi, Imane
Approaching Systemic Risk with Entropy 27-ott-2014 Pasqualini, Andrea
Basis risk in weather index insurance 2-lug-2018 Seck, Cheikh Ahmadou Bamba
Bayesian Combination and Calibration of Predictive Distributions 21-ott-2015 Mantoan, Giulia
A Bayesian Gravity Model for Italian domestic tourism 12-lug-2021 Rodriguez Ameal, Carlos
Bayesian inference for deriving some stochastic process 10-lug-2023 Nguyen, Ngoc Truong
A Bayesian MS-SUR Model for Forecasting Exchange Rates 27-ott-2014 Rotaru, Igor
Bayesian Multivariate Autoregressive Gamma Processes: An Application to Realized Volatility 10-lug-2017 Bianchin, Daniele
Bayesian Neural Networks for time series forecasting 12-lug-2024 Solari, Marco
A big data analytics method for forecasting tourism flows. 16-lug-2019 Gaifeev, Bulat
Bitcoin prices and volatility predictions based on crawled data. 10-lug-2017 Caporal, Charles
The CAC 40 in 2015: the ghost of a bubble 29-giu-2015 Barrau, Thomas
Causal relationships between Environmental, Social and Governance (ESG) ratings and portfolio allocation: A network analysis approach 10-lug-2023 Harrison, Benjamin Owusu
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