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Stochastic modelling of random variables

Language EnglishEnglish
Book Paperback
Book Stochastic modelling of random variables Max Moldovan
Libristo code: 06843774
Publishers VDM Verlag, July 2011
The process of verifying how well a selected and calibrated model represents a certain empirically o... Full description
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The process of verifying how well a selected and calibrated model represents a certain empirically observed phenomenon is usually referred to as model validation. In areas where empirical phenomena are not directly observable, as in case of financial volatility, the problem of stochastic model validation remains perhaps one of the most elusive though practically relevant problems of the modern applied research. In particular, it is generally preferable to use some form of objective analysis to perform the model validation. In this study, the stochastic process that underlies dynamics of financial variables is examined using statistical hypothesis testing and simulation techniques. We discover an interesting empirical anomaly never noticed before. It will be demonstrated that the observed artefact could be expected if the specifics of financial markets were appropriately taken into account and the analytical instrument was used with proper discretion. The obtained knowledge will be applied in validation and improvement of a stochastic model that measures a financial risk exposure.

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About the book

Full name Stochastic modelling of random variables
Author Max Moldovan
Language English
Binding Book - Paperback
Date of issue 2011
Number of pages 100
EAN 9783639370386
ISBN 3639370384
Libristo code 06843774
Publishers VDM Verlag
Weight 159
Dimensions 152 x 229 x 6
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