1. What Drives U.S. Financial Sector Volatility? A Bayesian Model Averaging Perspective
| Title | What Drives U.S. Financial Sector Volatility? A Bayesian Model Averaging Perspective |
|---|---|
| Translation | Čo ovplyvňuje volatilitu amerického finančného sektora? Technika bayesovského priemerovania modelov |
| Author info | Peter 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 | |
| Source document | ICCBIF 2019: Overcoming Economic Inequalities – Role of European Financial Systems : Book of Abstracts from 10th International Conference on Currency, Banking and International Finance, 4 and 5 April 2019, Starý Smokovec, Slovak Republic. Pp. 7. - Bratislava : Katedra bankovníctva a medzinárodných financií NHF EU, 2019 / Kotlebová Jana ; Horvátová Eva ; Chovancová Božena ; Árendáš Peter ; Kotlebová Jana ; ICCBIF 2019: Overcoming Economic Inequalities – Role of European Financial Systems International Conference. ISBN 978-80-225-4608-9 |
| Note | Abstrakt |
| Document kind | schedule of articles from year books |
| Language | English |
| Country of Edition | Slovak Republic |
| Public work category | Abstractions of scientific titles in year-books from home conferences |
| Database | PUBLIKAČNÁ ČINNOSŤ |
| No. of Archival Copy | E19 00085-003, kópia plného textu |