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01/2019, ISBN 9783038979272
FHA loan | E42 | Misery Index | economic development | managing of financial health | duration models | system GMM | maximum likelihood estimator | FMOLS | market microstructure | foreclosure | company performance | vector error correction model (VECM) | earnings forecasts | multivariate regression models | competing risks | social network model | price recovery | trading behavior | efficiency | prediction methods | panel data | nonlinearity | control environment | earnings announcements | economic freedom | E58 | risk of bankruptcy | foreign direct investment | Granger causality test | budgetary system and strategies | denomination range | heavy-tailed data | unemployment | exploratory diagnostics | EGARCH | historical time series | home mortgage | economic growth | abnormal returns | uncorrelated multivariate Student distribution | post-communist countries | nonparametric time series modeling | inflation | unified time series algorithm | unobserved heterogeneity | JEL Classification | Fama-French factor model | oil price | risk spillover | exchange rate | Nigeria | financial markets | middle income countries | trade balance | independent multivariate Student distribution | panel data factor model | Mahalanobis distances | derivatives market | operational control | Okun’s law | default and prepayment | DOLS | income inequality | frequency domain causality | Granger-causality tests | cointegration | financial analysts | postage stamps | cash payments | Probit and Logit models
eBook
Margin : the journal of applied economic research, ISSN 0973-8010, 11/2015, Volume 9, Issue 4, pp. 402 - 429
Journal Article