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JEL Classification: C10 - General

Number of items at this level: 117.

Baranovski, Alexander L. (2012): Calibration of factor models with equity data: parade of correlations. Unpublished.

Arvis, Jean-Francois and Shepherd, Ben (2011): The Poisson quasi-maximum likelihood estimator: A solution to the “adding up” problem in gravity models. Unpublished.

Masood, Omar and Fry, J. M. (2011): Risk management and the implementation of the Basel Accord in emerging countries: An application to Pakistan. Unpublished.

Garita, Gus (2011): The reciprocal relationship between systemic risk and real economic activity. Unpublished.

Escañuela Romana, Ignacio (2011): Evidencia empírica sobre la predictibilidad de los ciclos bursátiles: el comportamiento del índice Dow Jones Industrial Average en las crisis bursátiles de 1929, 1987 y 2997. Unpublished.

Modena, Matteo (2011): Agricultural commodities and financial markets. Unpublished.

Cooke, Edgar F A (2011): American trade policy towards Sub Saharan Africa –- a meta analysis of AGOA. Unpublished.

Gospodinov, Nikolay and Lkhagvasuren, Damba (2011): A new method for approximating vector autoregressive processes by finite-state Markov chains. Unpublished.

Zaman, Gheorghe and Georgescu, George (2011): Sovereign risk and debt sustainability: warning levels for Romania. Published in: Non-Linear Modelling in Economics. Beyond Standard Economics (March 2011): pp. 234-270.

Roman, Monica and Goschin, Zizi (2011): Does religion matter? Exploring economic performance differences among Romanian emigrants. Forthcoming in: Journal for the Study of Religions and Ideologies , Vol. 10, No. 29 (2011)

Pitarakis, J (2011): Joint Detection of Structural Change and Nonstationarity in Autoregressions. Unpublished.

Piluso, Fabio and Amerise, Ilaria Lucrezia (2011): L’asset allocation dei fondi hedge durante la crisi finanziaria: un’analisi empirica. Unpublished.

Duvendack, Maren and Palmer-Jones, Richard (2011): High Noon for Microfinance Impact Evaluations: Re-investigating the Evidence from Bangladesh. Unpublished.

Ballinger, Clint (2011): Why inferential statistics are inappropriate for development studies and how the same data can be better used. Unpublished.

Onour, Ibrahim (2011): Does credit for equity investments feedback on stock market volatility? Evidence from an emerging stock market. Unpublished.

Mohamed, Issam A.W. (2011): Utilizing System Dynamics Models in Analyzing Macroeconomic Variables of Yemen. Unpublished.

Fry, J. M. (2010): Gaussian and non-Gaussian models for financial bubbles via econophysics. Unpublished.

Salois, Matthew (2010): Obesity and Diabetes, the Built Environment, and the ‘Local’ Food Economy. Unpublished.

Song, In Ho (2010): House Prices and Consumption. Unpublished.

Gulzar, Ahmed; Junaid, Novaira and Haider, Adnan (2010): What is Hidden, in the Hidden Economy of Pakistan? Size, Causes, Issues and Implications. Unpublished.

Canestraro, Davide and Dacorogna, Michel (2010): Estimating the risk-adjusted capital is an affair in the tails. Unpublished.

Toledo, Wilfredo (2010): Algunos métodos para modelar tendencias y su aplicación a las series de empleo sectorial en Puerto Rico. Unpublished.

Garita, Gus (2010): An Inquiry into Banking Portfolios and Financial Stability Surrounding "The Great Recession". Unpublished.

Antonio, Paradiso (2010): Long-term interest rates, asset prices, and personal saving ratio: Evidence from the 1990s. Unpublished.

Caragea, Nicoleta and Alexandru, Ciprian Antoniade (2010): Renewable Energy Sources in Romania: A Statistical Approach. Published in: Access to Succes Qualiy , Vol. 1, No. 118/2010 (11. November 2010): pp. 120-124.

Evers, Hans-Dieter; Yusoff, Anis and Shamsul, A.BB. (2010): Ethno-diversity and bio-diversity: Methods and measurement. Unpublished.

Delis, Manthos D (2010): Bank competition, financial reform and institutions: The importance of being developed. Unpublished.

Onour, Ibrahim (2010): Crude Oil Prices and Stock Markets in Major Oil Exporting Countries: Evidence on Decoupling Feature. Unpublished.

Proietti, Tommaso (2010): Trend Estimation. Unpublished.

Sinha, Pankaj and Johar, Archit (2010): Hedging Greeks for a portfolio of options using linear and quadratic programming. Unpublished.

Halkos, George (2010): Exploring Greek innovation activities: the adoption of generalized linear models. Unpublished.

COSTANDACHI, Gheorghe (2010): Repere de fundamentare a structurii sistemului informational statistic in Republica Moldova. Published in: Economie si sociologie , Vol. Volume 1, 2010, (2010): pp. 9-19.

Valdez, Emiliano A. (2009): On the Distortion of a Copula and its Margins. Unpublished.

Garita, Gus (2009): Risk-Factor Portfolios and Financial Stability. Unpublished.

Cosma, Dorin and Cosma, Octavian (2009): Modern Risk Management Strategies for the Romanian State Treasury. Unpublished.

Applanaidu, Shri Dewi; Mohamed Arshad, Fatimah; Abdel Hameed, Amna Awad; Hasanov, Akram; Idris, Nurjihan; Abdullah, Amin Mahir and Shamsudin, Mad Nasir (2009): Malaysian Cocoa Market Modeling: A Combination of Econometric and System Dynamics Approach. Unpublished.

Victor, Aguirregabiria (2009): A Method for Implementing Counterfactual Experiments in Models with Multiple Equilibria. Unpublished.

Uña, Gerardo; Cogliandro, Gisell and Bertello, Nicolas (2009): Inequidades y Ausencia de Criterios Explícitos de Reparto: La distribución del Presupuesto Nacional a las provincias en el periodo post crisis (2004-2007). Published in: Fundacion Siena Website No. Publicación No. 7 (2009): 01-48.

Aguirregabiria, Victor and Ho, Chun-Yu (2009): A Dynamic Oligopoly Game of the US Airline Industry: Estimation and Policy Experiments. Unpublished.

Alfaro, Rodrigo (2009): Inferencia Estadística. Unpublished.

Garita, Gus and Zhou, Chen (2009): Can Financial Openness Help Avoid Currency Crises? Unpublished.

Kamat, Manoj S. (2009): The Ownership and Industry Effects of Corporate Dividend Policy in India, 1961-2007. Unpublished.

Boldea, Otilia and Magnus, Jan R. (2009): Maximum Likelihood Estimation of the Multivariate Normal Mixture Model. Published in: Journal of the American Statistical Association , Vol. 104, No. 488 (2009): pp. 1539-1549.

marchese, malvina (2009): Monte Carlo experiment on the pooled ols estimator in large mixed panels. Unpublished.

Ringle, Christian M.; Götz, Oliver; Wetzels, Martin and Wilson, Bradley (2009): On the Use of Formative Measurement Specifications in Structural Equation Modeling: A Monte Carlo Simulation Study to Compare Covariance-Based and Partial Least Squares Model Estimation Methodologies. Published in: Research Memoranda from Maastricht (METEOR)

Olczyk, Magdalena and Wolszczak-Derlacz, Joanna (2009): The European Union – one market?: to be or not to be– this is a question. The analysis of market integration between Poland and the EU – price and trade approach. Published in: Wybrane problemy integracji europejskiej (2009): pp. 401-412.

Meyer, Thomas K. (2008): Data Estimation and Interpretation: An Analysis. Unpublished.

Barnett, William A. and Duzhak, Evgeniya A. (2008): Empirical assessment of bifurcation regions within new Keynesian models. Unpublished.

Murillo-Zamorano, Luis R. and Petraglia, C. (2008): Technical efficiency in primary health care: does quality matter? Unpublished.

Gonzales-Martínez, Rolando; Hurtado, Enrique and Valdivia, Pedro (2008): Un método de Cálculo y Temporización de Previsiones Cíclicas para el Sistema Financiero Boliviano. Unpublished.

Albu, Lucian-Liviu; Georgescu, George and Ghizdeanu, Ion (2008): Romania’s development level comparing with EU countries: The RGS (Relative Gap Scoring) Ranking Index. Unpublished.

Theall, Katherine P.; Scribner, Richard; Lynch, Sara; Simonsen, Neal; Schonlau, Matthias; Carlin, Bradley and Cohen, Deborah (2008): Impact of Small Group Size on Neighborhood Influences in Multilevel Models. Unpublished.

Okoye, B.C and Ukoha, O.O (2008): Gender Differentials in Labour Productivity among Small-Holder Cassava Farmers in Ideato Local Government Area of Imo State, Nigeria. Unpublished.

Ferreira, Paulo and Dionisio, Andreia (2008): THE ENTROPIC ANALYSIS OF ELECTORAL RESULTS: THE CASE OF EUROPEAN COUNTRIES. Unpublished.

Verbic, Miroslav and Kuzmin, Franc (2008): Coefficient of Structural Concordance and an Example of its Application: Labour Productivity and Wages in Slovenia. Published in: Panoeconomicus , Vol. 56, No. 2 (2009): pp. 227-240.

Stanisic, Nenad (2008): Do Foreign Direct Investments Increase the Economic Growth of Southeastern European Transition Economies? Published in: South-Eastern Europe Journal of Economics , Vol. 6, No. 1 (16. May 2008): pp. 29-38.

Meşter, Ioana; Bădulescu, Alina; Bâc, Octavian and Bac, Dorin (2008): Qualitative and quantitative analysis of the sport tourism from the perspective of romanian young adults. Unpublished.

Das, Sanghamitra; Mukhopadhyay, Abhiroop and Ray, Tridip (2008): Negative Reality of the HIV Positives: Evaluating Welfare Loss in a Low Prevalence Country. Unpublished.

Onour, Ibrahim (2008): Forward-Looking Beta Estimates:Evidence from an Emerging Market. Unpublished.

Onour, Ibrahim (2008): Financial Integration of GCC Capital Markets:Evidence of Nonlinear Cointegration. Published in: Afro-Asian Journal of Finance and Accounting , Vol. 1, No. 3 : pp. 251-265.

Torrisi, Gianpiero (2008): The model of the linear city under a triangular distribution of consumers: an empirical analysis on price and location of beverage kiosks in Catania. Unpublished.

Kiani, Mehdi; Panaretos, John and Psarakis, Stelios (2008): A New Procedure to Monitor the Mean of a Quality Characteristic. Forthcoming in: Communications in Statistics B, (Simulation and Computation)

Serbanescu, Luminita (2008): The Impact of Information and Communication Technologies in the Social and Economical Domain. Published in: Analele Universităţii „Constantin Brâncuşi”, Tg Jiu , Vol. Volume 4, No. No. 1/2008 (2008): pp. 154-160.

Herrera Gómez, Marcos (2008): Una introducción al análisis multinivel: ¿La demanda individual de salud es afectada por el médico de cabecera? Unpublished.

HALICIOGLU, Ferda (2008): Euro 2008’i Neden İspanya kazandı ? Unpublished.

Perlin, M. (2007): Evaluation of pairs trading strategy at the Brazilian financial market. Unpublished.

Perlin, M. (2007): M of a kind: A Multivariate Approach at Pairs Trading. Unpublished.

Andrei, Tudorel; Teodorescu, Daniel; Iacob, Andreea Iluzia E. S. and Stancu, Stelian (2007): The Application of the Econometric Models with Qualitative Variables in the Analysis of the Non Academic Behaviors at the Level of the Romanian Higher Education System. Published in: Economic Computation and Economic Cybernetics Studies and Research , Vol. 41, No. No. 3-4/2007 (December 2007): pp. 131-139.

Palombizio, Ennio A. (2007): Mutual Funds and Segregated Funds: A Comparison. Unpublished.

Martins, J. Albuquerque (2007): O Estado e a Gestão da Administração Pública. Published in:

TURTUREAN, Ciprian Ionel (2007): Legea lui Okun pentru România în perioada 1992-2004. Published in: Politici, modele si scenarii de crestere economica in vederea aderarii Romaniei la Uniunea Europeana No. ISBN 978-973-594-978-5 (24. October 2007): pp. 214-221.

Das, Sanghamitra; Mukhopadhyay, Abhiroop and Ray, Tridip (2007): Integrating Mental Health in Welfare Evaluation: An Empirical Application. Unpublished.

Onour, Ibrahim (2007): Testing Efficiency Performance of an Underdeveloped Stock Market. Unpublished.

Espinosa Méndez, Christian (2007): EFECTO FIN DE SEMANA Y FIN DE MES EN EL MERCADO BURSATIL CHILENO. Published in: Panorama Socioeconomico , Vol. 25, No. 034 (December 2007): pp. 8-17.

Rao, B. Bhaskara (2007): Deterministic and stochastic trends in the time series models: A guide for the applied economist. Unpublished.

Bandyopadhyay, Debdas and Das, Arabinda (2007): Identifiability of the Stochastic Frontier Models. Unpublished.

Barbry, Eric (2007): Web 2.0: Nothing Changes…but Everything is Different. Published in: International Journal of Digital Economics No. 65 (March 2007): pp. 91-103.

Bhabesh, Sen and Himanshu Sekhar, Rout (2007): DETERMINANTS OF HOUSEHOLD HEALTH EXPENDITURE: CASE OF URBAN ORISSA. Published in: Utkal Economic Papers , Vol. XIII, No. 1 (2007): pp. 17-23.

Herrera Gómez, Marcos and Escuadero, Sandra (2007): Evaluación del rendimiento de cultivares de soja en diferentes fechas de siembra. Unpublished.

Pasricha, Gurnain Kaur (2006): Kalman Filter and its Economic Applications. Unpublished.

Alfonso, Galindo Lucas (2006): Repercusiones de la definición de tamaño empresarial en los resultados empíricos sobre eficiencia y financiación. Published in: Observatorio Iberoamericano del Desarrollo Local y la Economía Social , Vol. 1, No. 1 (05. September 2007): pp. 308-361.

Barnett, William A. and Usui, Ikuyasu (2006): The Theoretical Regularity Properties of the Normalized Quadratic Consumer Demand Model. Unpublished.

Ferro, Gustavo and Antón Rodríguez, Martín (2006): Foreign direct investment. A bid for progress? Unpublished.

Hillier, Grant and Martellosio, Federico (2006): Spatial design matrices and associated quadratic forms: structure and properties. Published in: Journal of Multivariate Analysis , Vol. 97, (2006): pp. 1-18.

Meneses, Francisco/F; Parra, Alvaro/P and Zenteno, Luis/L (2005): Se Puede Mejorar el Sistema de Ingreso a las Universidades Chilenas? El uso del ranking en la Universidad Catolica de Chile, Universidad de Chile y Universidad de Santiago de Chile. Unpublished.

Kaufmann, Daniel and Bellver, Ana (2005): Transparenting Transparency: Intial Empirics and Policy Applications. Published in:

Joseph, Joy (2005): Competitive Pricing Analysis in Mature & Evolving Markets A Time Series Approach. Unpublished.

Yao, Jean-Marie (2005): Approche Econométrique des Déterminants de la Rentabilité des Banques Européennes. Unpublished.

Eruygur, H. Ozan (2005): Generalized maximum entropy (GME) estimator: formulation and a monte carlo study. Unpublished.

Gencay, Ramazan; Selcuk, Faruk and Whitcher, Brandon (2004): Information flow between volatilities across time scales. Unpublished.

George, Halkos and Ilias, Kevork (2004): H ασυμπτωτική διακύμανση στην εκτίμηση του στάσιμου μέσου υπό συνθήκες αυτοσυσχέτισης. Unpublished.

Ardia, David (2003): Analysis of dependencies in low frequency financial data sets. Unpublished.

bouoiyour, jamal and bennaghmouch, Saloua (2002): Capital humain et croissance économique au Maroc. Unpublished.

Halkos, George and Kevork, Ilias (2002): Confidence intervals in stationary autocorrelated time series. Unpublished.

Skribans, Valerijs (2001): Būvniecības tirgus novērtēšana jaunās ekonomikas apstākļos. Published in: Conference matherials No. Izglītota sabiedrība un jaunā ekonomika kvalitatīvā mijiedarbībā (2001): pp. 234-240.

Fliers, Frits (1999): Fehlende Werte in SAS 6.12, US-Version. Unpublished.

Bouoiyour, Jamal and Rey, Serge (1999): Une analyse de la compétitivité-prix des PTM et des PECO face à la Zone Euro. Unpublished.

Swanson, Norman (1996): BOOK REVIEW of “Statistical Foundations for Econometric Techniques” by Asad Zaman. Published in: Econometric Reviews , Vol. 17, No. 2 (1998): pp. 221-225.

Albu, Lucian-Liviu and Georgescu, George (1983): An attempt to quantify the economic system motion under the investment process incidence. Published in: Revista Economica No. 30 : pp. 23-26.

Colignatus, Thomas (2007): A comparison of nominal regression and logistic regression for contingency tables, including the 2 × 2 × 2 case in causality. Unpublished.

Colignatus, Thomas (2007): A measure of association (correlation) in nominal data (contingency tables), using determinants. Unpublished.

Feldman, Barry (2007): A Theory of Attribution. Unpublished.

Mishra, SK (2007): Construction of an Index by Maximization of the Sum of its Absolute Correlation Coefficients with the Constituent Variables. Unpublished.

Mishra, SK (2007): Construction of an Index by Maximization of the Sum of its Absolute Correlation Coefficients with the Constituent Variables. Unpublished.

Colignatus, Thomas (2007): Correlation and regression in contingency tables. A measure of association or correlation in nominal data (contingency tables), using determinants. Unpublished.

Colignatus, Thomas (2007): Correlation and regression in contingency tables. A measure of association or correlation in nominal data (contingency tables), using determinants. Unpublished.

Halkos, George and Tzeremes, Nickolaos (2007): Corruption and Socioeconomics Determinants:Empirical Evidence of Twenty Nine Countries. Unpublished.

Vargas Barrenechea, Martin (2007): First Derivatives of the log-L for the multivariate probit model. Unpublished.

Vargas Barrenechea, Martin (2007): First Derivatives of the log-L for the multivariate probit model. Unpublished.

Perez, Marcos and Ahn, Seung Chan (2007): GMM Estimation of the Number of Latent Factors. Unpublished.

Calzaroni, Manlio; Cappiello, Antonio; Della Rocca, Giorgio; Di Zio, Marco; Martelli, Cristina; Pieraccini, Guido; Profili, Francesco and Tembe, Cirilo (2006): Metodologia - O Sector Informal em Moçambique: Resultados do Primeiro Inquérito Nacional (2005). Published in: , Vol. O Sector Informal em Mogambique: Resultados do Primeiro Inquérito Nacional, No. © 2006 Instituto Nacional de Estatística, Maputo, Moçambique (2006)

Finger, Robert and Schmid, Stéphanie (2007): Modelling Agricultural Production Risk and the Adaptation to Climate Change. Unpublished.

Lee, Kiseop and Xu, Mingxin (2007): Parameter estimation from multinomial trees to jump diffusions with k means clustering. Unpublished.

Sinha, Dipendra (2007): Patents, Innovations and Economic Growth in Japan and South Korea: Evidence from individual country and panel data. Unpublished.

Colignatus, Thomas (2007): The 2 x 2 x 2 case in causality, of an effect, a cause and a confounder. A cross-over guide to the 2 x 2 x 2 contingency table. Unpublished.

Colignatus, Thomas (2007): The 2 x 2 x 2 case in causality, of an effect, a cause and a confounder. A cross-over’s guide to the 2 x 2 x 2 contingency table. Unpublished.

Grum, Andraž (2006): The effect of parallel OTC-DVP bond market introduction on yield curve volatility. Published in: The Proceedings of Rijeka Faculty of Economics – Journal of Economics and Business , Vol. 24, No. 1 (June 2006): pp. 123-140.

This list was generated on Wed Feb 8 22:40:05 2012 CET.
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