Item talk:Q167345: Difference between revisions

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{
{
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Latest revision as of 20:17, 12 September 2024

{

 "OpenAlex": {
   "display_name": "Modeling and Forecasting Financial Volatility",
   "description": "This cluster of papers focuses on modeling and forecasting financial volatility, including topics such as GARCH models, copula modeling, stochastic volatility, contagion, dependence, realized volatility, and risk management in the context of market integration.",
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     "GARCH Models",
     "Copula Modeling",
     "Stochastic Volatility",
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     "Dependence",
     "Realized Volatility",
     "Risk Management",
     "Multivariate Analysis",
     "Market Integration"
   ],
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   "type": "topic",
   "oa_id": "T10282",
   "id": "https://openalex.org/T10282"
 }

}