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U.S. Financial Sector Volatility: A Bayesian Model Averaging Perspective

  1. Title U.S. Financial Sector Volatility: A Bayesian Model Averaging Perspective
    TranslationVolatilita finančného sektora v USA: technika Bayesovského priemerovania modelov
    Author infoPeter Gernát, Zuzana Košťálová, Štefan Lyócsa
    Author Gernát Peter EUBFNHKBF - Katedra bankovníctva a medzinárodných financií FNH
    Co-authors Košťálová Zuzana EUBFNHKBF - Katedra bankovníctva a medzinárodných financií FNH
    Lyócsa Štefan EUBFNHKBF - Katedra bankovníctva a medzinárodných financií FNH
    Source document PEFnet 2018 : Abstracts of Proceedings from 22nd European Scientific Conference of Doctoral Students, Brno, November 29, 2018. P. 23 online. - Brno : Mendel University in Brno, 2018 / Hampel David ; PEFnet 2018 European Scientific Conference of Doctoral Students. ISBN 978-80-7509-602-9
    NoteAbstrakt
    Document kindschedule of articles from year books
    LanguageEnglish
    Country of EditionCzech Republic
    Keywords trh finančný * sektor finančný * nestabilita finančná * volatilita * modelovanie * modely * USA
    Public work categoryAbstractions of scientific titles in year-books from international conferences
    DatabasePUBLIKAČNÁ ČINNOSŤ
    No. of Archival CopyE18 00863-002, kópia plného textu

Number of the records: 1  

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