نتایج جستجو برای: species at risk

تعداد نتایج: 4686175  

2001
Peter Christoffersen Jinyong Hahn Atsushi Inoue

2012
Christian Hellwig Laura Veldkamp Sebastian Kohls

Proof. Proof of claim 1: Suppose all agents acquire full information. In this case Π(bi) = 0 and each agent has to pay c. Deviating from the equilibrium means that the agent receives an uninformative signal, i.e. bi → ∞, but does not have to pay c. From the definition we can easily see that as bi → ∞, τv → 0. In the full information equilibrium, the agent knows that ā = s and thus Var [ā|Ii] = ...

Journal: :Expert Syst. Appl. 2012
Mehmet Orhan Bülent Köksal

In this paper the value at risk (VaR) forecasts are compared using three different GARCH models; ARCH(1), GARCH(1,1) and EGARCH(1,1). The implemented method is a one-day ahead out of sample forecast of the VaR. The forecasts are evaluated using the Kupiec test with a five percent significance level. The focus is on three different markets; commodities, equities and exchange rates. The goal of t...

2015
Marcus P. da Rocha Lucelia Lima Costa Hélida Salles Santos Benjamín R. C. Bedregal

This work aims at comparing two models of fuzzy distribution: Normal and Laplace, whenever they are inside the context of possibilistic mean-variance model described by Li et al. in [6], where fuzzy Normal distribution is used. We propose to make a comparison using their model, but instead we apply fuzzy Laplace distribution. We also demonstrate the theorems which are necessary for the inclusio...

2006
Jian-Fa Li

The fund manager always pronounces “the high returns from hedge fund are along with low risk. Is the performance of hedge fund manager really good? In this study, the market-timing ability and performance consistency on hedge fund manager are tested. The Sharpe ratio was employed to implement the consistency of performance for mutual fund in the previous literature. Due to the non-normally dist...

2015
Qing Gu Pär Sjölander

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