Munich Personal RePEc Archive

Items where Subject is "C - Mathematical and Quantitative Methods > C1 - Econometric and Statistical Methods and Methodology: General > C18 - Methodological Issues: General"

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Number of items at this level: 85.


Aknouche, Abdelhakim (2015): Unified quasi-maximum likelihood estimation theory for stable and unstable Markov bilinear processes. Published in: Nova Publisher Science (2015)

Aknouche, Abdelhakim and Al-Eid, Eid and Demouche, Nacer (2016): Generalized quasi-maximum likelihood inference for periodic conditionally heteroskedastic models.

Aknouche, Abdelhakim and Bendjeddou, Sara and Touche, Nassim (2016): Negative binomial quasi-likelihood inference for general integer-valued time series models. Forthcoming in: Journal of Time Series Analysis

Aknouche, Abdelhakim and Francq, Christian (2018): Count and duration time series with equal conditional stochastic and mean orders.

Alvi, Mohsin (2017): Critical Issues in Accounting.

Armstrong, J. Scott (2007): Significance Tests Harm Progress in Forecasting. Published in: International Journal of Forecasting No. 23 (2007): pp. 321-336.

Ayoki, Milton (2017): Estimating the Revenue Impacts of Tax Harmonisation.

Ayoki, Milton (2012): Uganda’s Emerging Middle Class and its Potential Economic Opportunities.


Bartolucci, Francesco and Marino, Maria Francesca and Pandolfi, Silvia (2015): Composite likelihood inference for hidden Markov models for dynamic networks.

Bataa, Erdenebat (2019): Growth and Inflation Regimes in Greater Tumen Initiative Area.

Bentour, El Mostafa (2015): A ranking of VAR and structural models in forecasting.

Bilgili, Faik (1998): Stationarity and cointegration tests: Comparison of Engle - Granger and Johansen methodologies. Published in: Journal of Faculty of Economics and Administrative Sciences, Erciyes University No. 13 (1998): pp. 131-141.

Bogliacino, Francesco and Codagnone, Cristiano (2017): Microfoundations, Behaviour, and Evolution: Evidence from Experiments. Forthcoming in: Structural Change and Economic Dynamics

Bokusheva, Raushan (2014): Improving the Effectiveness of Weather-based Insurance: An Application of Copula Approach.

Bonanno, Graziella and De Giovanni, Domenico and Domma, Filippo (2015): The “wrong skewness” problem: a re-specification of Stochastic Frontiers.

Bondzie, Eric Amoo (2016): Effect of smoking and other economic variables on wages in the Euro Area.

Bukvić, Rajko (2017): Концентрација и конкуренција у банковном сектору Србије. Published in: XLIV Simpozijum o operacionim istraživanjima, SYM-OP-IS 2017 Zlatibor 25–28 septembar 2017, Zbornik radova, ur. Goran Ćirović, Visoka građevinsko-geodetska škola, Beograd, 2017 (2017): pp. 472-477.

Bukvić, Rajko (2007): Nacionalna proizvodnja i makroagregati u stalnim cenama kao njen realan izraz. Published in: Statistička revija (Statistical Review) , Vol. 56, No. 3–4 (2007): pp. 30-52.

Bukvić, Rajko and Pavlović, Radica and Gajić, Аlеksаndаr M. (2014): Possibilities of Application of the Index Concentration of Linda in Small Economy: Example of Serbian Food Industries. Published in: Annals of the Oradea University. Fascicle of Management and Technological Engineering , Vol. 23 (13, No. 3 (2014): pp. 159-164.


Clarke, Damian and Matta, Benjamín (2017): Practical Considerations for Questionable IVs.

Clemens, Jeffrey (2017): Pitfalls in the Development of Falsification Tests: An Illustration from the Recent Minimum Wage Literature.


Degiannakis, Stavros and Giannopoulos, George and Ibrahim, Salma and Rozic, Ivana (2017): Earnings Management to Avoid Losses and Earnings Declines in Croatia.

Dinda, Soumyananda (2015): A Note on DD Approach.

Dinda, Soumyananda (2015): Return on Universal Education: SSA Case Study on Bihar.

Dinda, Soumyananda and Ghosh, Dibyendu (2015): A Search for Backward Blocks in Burdwan District, West Bengal: An Application of Composite Development Index.

Dumnov, Aleksandr (2011): Отражение природоохранных затрат в СНС: международные рекомендации и проблемы их реализации. Published in: Voprosy statistiki , Vol. 8, (August 2011): pp. 3-21.


Erard, Brian (2017): Modeling Qualitative Outcomes by Supplementing Participant Data with General Population Data: A Calibrated Qualitative Response Estimation Approach.

Erhardt, Eva (2017): Who persistently creates jobs? Absolute versus relative high-growth firms.

Erhardt, Eva (2017): Who persistently creates jobs? Absolute versus relative high-growth firms.

Erhardt, Eva (2017): Who persistently creates jobs? Absolute versus relative high-growth firms.

Erhardt, Eva Christine (2018): Firm performance after high growth: A comparison of absolute and relative growth measures.

Esiyok, Bulent and Ugur, Mehmet (2017): Spatial dependence in the growth process and implications for convergence rate: Evidence on Vietnamese provinces. Forthcoming in: Journal of the Asia Pacific Economy


FARAYIBI, Adesoji (2016): Investigating the Application of Queue Theory in the Nigerian Banking System.

Fedotenkov, Igor (2018): A review of more than one hundred Pareto-tail index estimators.

Fragkos, Konstantinos C. and Tsagris, Michail and Frangos, Christos C. (2014): Publication Bias in Meta-Analysis: Confidence Intervals for Rosenthal’s Fail-Safe Number. Published in: International Scholarly Research Notices , Vol. 2014, (December 2014): pp. 1-17.


Georgescu, George (2016): The world trade data distortion and its contagious impact. A brief comment on the WTO “Made in the World” initiative.

Gorga, Carmine (2016): Concordian economics and the economic bubble. Published in: Econintersect , Vol. NA, No. Daily Internet newsletter (15 August 2016): NA-NA.

Grand, Nathalie and Kamaly, Ahmed (2017): On the guidelines of good planning : The case of the Arab region. Published in: Economic and Social Commission for Western Asia, Technical papers No. 22 (14 December 2017): pp. 1-37.

Grand, Nathalie and Lorenz, Adam and Woodford, Georgina (2017): Documentation note ESCWA'S national plans database. Published in: United Nations Economic and Social Commission for Western Asia, Technical paper No. 23 (21 December 2017): pp. 1-22.

Greselin, Francesca and Zitikis, Ricardas (2015): Measuring economic inequality and risk: a unifying approach based on personal gambles, societal preferences and references.


Halkos, George and Petrou, Kleoniki Natalia (2018): Assessment of national waste generation in EU Member States’ efficiency.

Halkos, George and Tsilika, Kyriaki (2016): Measures of correlation and computer algebra.

Harin, Alexander (2017): Behavioral economics and auto-images of distributions of random variables.

Hasan, Zubair (2017): Academic sociology: The alarming rise in predatory publishing and its consequences for Islamic economics and finance. Published in: ISRA: International Journal of Islamic Finance (Emerald insights) , Vol. 10, No. 1 (30 June 2018): pp. 6-18.


Jackson, Emerson Abraham (2018): Theoretical and Methodological Context of (Post)-Modern Econometrics and Competing Philosophical Discourses for Policy Prescription. Forthcoming in: Postmodern Openings , Vol. 9, No. 3 (1 September 2018)


Kebede, Shemelis (2017): Modeling Energy Consumption, CO2 Emissions and Economic Growth Nexus in Ethiopia: Evidence from ARDL Approach to Cointegration and Causality Analysis.

Keita, Moussa (2016): Introduction à la méthode statistique et probabiliste.

Khobai, Hlalefang and Mbeki, Zizipho Mihlali (2018): Health and economic growth in Vista countries: An ARDL bounds test approach.

Kiviet, Jan (2019): Microeconometric Dynamic Panel Data Methods: Model Specification and Selection Issues.

Kocięcki, Andrzej (2017): Fully Bayesian Analysis of SVAR Models under Zero and Sign Restrictions.


Liddle, Brantley (2015): What Are the Carbon Emissions Elasticities for Income and Population? Bridging STIRPAT and EKC via robust heterogeneous panel estimates. Published in: Global Environmental Change , Vol. 31, (2015): pp. 62-73.

Lima, Rita (2016): Capitale umano, innovazione tecnologica e divari economici nell’era post-knowledge? Un’analisi econometrica a livello sub nazionale.

Limani, Jeta and Bettinger, Régis and Dacorogna, Michel M (2017): On the diversification benefit of reinsurance portfolios.


MacDonald, Stephen (2005): A Comparison of USDA's Agricultural Export Forecasts with ARIMA-based Forecasts. Published in: Papers and Proceedings of the 14th Federal Forecasters Conference : pp. 155-161.

Mussa, Richard (2014): Extending the Oaxaca-Blinder Decomposition to the Independent Double Hurdle Model: With Application to Parental Spending on Education in Malawi. Published in: Journal for Studies in Economics and Econometrics , Vol. 38, No. 3 (11 December 2014): pp. 39-54.


Nelimarkka, Jaakko (2017): Evidence on News Shocks under Information Deficiency.

Nelimarkka, Jaakko (2017): The effects of government spending under anticipation: the noncausal VAR approach.


Pennoni, Fulvia and Romeo, Isabella (2016): Latent Markov and growth mixture models for ordinal individual responses with covariates: a comparison.

Pillay, Sagaren and de Beer, Joe (2016): Alignment of the Quarterly Financial Statistics to the Annual Financial Statistics data.

Polbin, Andrey and Skrobotov, Anton (2017): Спектральная оценка компоненты бизнес цикла ВВП России с учетом высокой зависимости от условий торговли.


Quaas, Georg (2019): Die Dimensionsanalyse und ihre Anwendung in der Ökonomik.


Radanliev, Petar and De Roure, David and Nicolescu, Razvan and Huth, Michael and Mantilla Montalvo, Rafael and Cannady, Stacy and Burnap, Peter (2018): Future developments in cyber risk assessment for the internet of things. Published in: Computers in Industry - No. 102 (2018) 14–22 (September 2018): pp. 14-22.

Razzak, Weshah (2017): The PPP Puzzle: An Update.

Rodríguez Weber, Javier (2015): Estimación de desigualdad de ingreso y otras variables relacionadas para Chile entre 1860 y 1970. Metodología y resultados obtenidos.

Romanceva, Julia and Bautin, Vladimir (2016): Статистический анализ динамики развития сельского хозяйства России в постсоветский период.


Sabadash, Anna (2014): Employment of ICT specialists in the EU (2004-2012). Forthcoming in: Digital Economy Working Papers No. 2014-01 : pp. 1-48.

Santeramo, Fabio Gaetano (2016): Methodological challenges in building composite indexes: Linking theory to practice.

Sapre, Amey and Sengupta, Rajeswari (2017): An analysis of revisions in Indian GDP data. Published in: World Economics , Vol. 18, No. 4 (20 December 2017)

Sarracino, Francesco and Mikucka, Malgorzata (2016): Estimation bias due to duplicated observations: a Monte Carlo simulation.

Shaar, Karam (2017): Reconciling International Trade Data.

Sinha, Pankaj and Srinivas, Sandeep and Paul, Anik and Chaudhari, Gunjan (2016): Forecasting 2016 US Presidential Elections Using Factor Analysis and Regression Model.


Tsagris, Michail (2015): Regression analysis with compositional data containing zero values. Published in: Chilean Journal of Statistics , Vol. 6, No. 2 (8 September 2015): pp. 47-57.

Tsagris, Michail (2014): The k-NN algorithm for compositional data: a revised approach with and without zero values present. Published in: Journal of Data Science , Vol. 3, No. 12 (July 2014): pp. 519-534.

Tsagris, Michail and Preston, Simon and T.A. Wood, Andrew (2016): Improved classi cation for compositional data using the $\alpha$-transformation. Forthcoming in: Journal of Classification (2016)


Vorobyev, Oleg Yu. (2016): Postulating the theory of experience and chance as a theory of co~events (co~beings). Published in: Proceedings of the XV FAMEMS-2016 Conference and the Workshop on Hilbert's sixth problem, Krasnoyarsk, Russia (30 September 2016): pp. 25-43.

Vorobyev, Oleg Yu. (2016): The theory of dual co~event means. Published in: Proceedings of the XV FAMEMS-2016 Conference and the Workshop on Hilbert's sixth problem, Krasnoyarsk, Russia (30 September 2016): pp. 44-93.


Wijesiri, Mahinda and Yaron, Jacob and Meoli, Michele (2015): Performance of microfinance institutions in achieving the poverty outreach and financial sustainability: When age and size matter?


Yang, Bill Huajian (2017): Forward Ordinal Probability Models for Point-in-Time Probability of Default Term Structure. Forthcoming in: Journal of Risk Model Validation (September 2017)

Yang, Bill Huajian (2017): Smoothing Algorithms by Constrained Maximum Likelihood. Forthcoming in: Journal of Risk Model Validation (September 2017)


Zervopoulos, Panagiotis and Emrouznejad, Ali and Sklavos, Sokratis (2019): A Bayesian approach for correcting bias of data envelopment analysis estimators.

Zinchenko, Aleksey (2016): Формирование добавленной стоимости сельского хозяйства России в системе национального счетоводства. Published in: Izvestiya of Timiryazev Agricultural Academy , Vol. 1, (January 2016): pp. 97-107.

Zinchenko, Aleksey (2015): Efficiency of cattle in Russia in the context of implementation of state programs. Published in: Izvestiya of Timiryazev Agricultural Academy , Vol. 1, (January 2015): pp. 108-124.

Zinchenko, Aleksey and Kagirova, Marya (2015): Эффективность скотоводства в России в период реализации государственных программ развития сельского хозяйства. Published in: Izvestiya of Timiryazev Agricultural Academy , Vol. 1, (February 2015): pp. 108-124.

Zinchenko, Aleksey and Ukolova, Anna (2012): Статистическое изучение малых форм хозяйствования в аграрном секторе России. Published in: Economy of Agricultural and Processing Enterprises , Vol. 6, (June 2012): pp. 40-44.

Zinchenko, Aleksey and Ukolova, Anna (2014): О программе Всероссийской сельскохозяйственной переписи 2016 года. Published in: Voprosy Statistiki , Vol. 2, (February 2014): pp. 10-16.

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