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1
Value at Risk-Quantifizierung unter Verwendung von Hochfrequenzdaten: Empirische Analyse am Beispiel des Aktienkursrisikos
Deutscher Universitätsverlag
Mark Neukomm (auth.)
renditen
timescale
daten
garch
vgl
werte
wert
hochfrequenzdaten
varianz
abb
berechnung
previous
intervalldauer
abbildung
nestle
volatilitat
gleichung
activity
risk
aktien
prozess
verteilung
tab
anzahl
30m
analyseperiode
simulation
urn
werten
novartis
frequenzen
haltedauer
flir
backtestingperiode
residuen
portfolio
sicherheitsniveau
historischen
rendite
kurtosis
realisierten
anhand
frequenz
zeigt
intraday
hohe
konzept
modell
standardabweichung
zeitreihen
Year:
2004
Language:
german
File:
PDF, 18.14 MB
Your tags:
0
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0
german, 2004
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