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A flexible predictive density combination for large financial data sets in regular and crisis periods - MaRDI portal

A flexible predictive density combination for large financial data sets in regular and crisis periods (Q6090582)

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scientific article; zbMATH DE number 7767729
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A flexible predictive density combination for large financial data sets in regular and crisis periods
scientific article; zbMATH DE number 7767729

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    A flexible predictive density combination for large financial data sets in regular and crisis periods (English)
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    17 November 2023
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    density combination
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    large set of predictive densities
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    dynamic factor models
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    nonlinear state-space
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    Bayesian inference
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