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Heavy-Tailed Distributions and Robustness in Economics and Finance.

Heavy-Tailed Distributions and Robustness in Economics and Finance. 経済学と金融における裾の重い分布とロバストネス

・ISBN 978-3-319-16876-0 soft EUR 49.99

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お気に入り
著者・編者Ibragimov, Marat / Ibragimov, R. / Walden, J.,
シリーズLecture Notes in Statistics
出版社(Springer, GW)
出版年月2015
ページ数119 pp.
言語ENG
ニュース番号<625-326 625-457>

解説

This book focuses on general frameworks for modeling heavy-tailed distributions in economics, finance, econometrics, statistics, risk management and insurance. A central theme is that of (non-)robustness, i.e., the fact that the presence of heavy tails can either reinforce or reverse the implications of a number of models in these fields, depending on the degree of heavy-tailed ness. These results motivate the development and applications of robust inference approaches under heavy tails, heterogeneity and dependence in observations. Several recently developed robust inference approaches are discussed and illustrated, together with applications.