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51.
Well-anchored inflation expectations are a key factor for achieving economic stability. This paper provides new empirical results on the anchoring of long-term inflation expectations in the euro area. In line with earlier evidence, we find that euro area inflation expectations have been anchored until fall 2011. Since then, however, they respond significantly to macroeconomic news. Our results obtained from multiple endogenous break point tests suggest that euro area inflation expectations have remained de-anchored ever since.  相似文献   
52.
朱涛 《价值工程》2015,(1):205-206
数字资源的拥有者应该设计图书馆数字资源的防盗链方案,提升数字图书馆的防盗链能力。本文通过对数字图书馆的了解,进行数字图书馆防盗链设计的研究。  相似文献   
53.
Wheat yields from reported performance test results are of economic importance to wheat producers, since their profits depend on selecting the optimal variety for their location. However, our data shows differences in absolute and relative wheat yields between commercial and public wheat breeding program's performance test data in Kansas. Newly available data are used to test if the difference in yields arose from potential selectivity bias, and to determine the contribution of private and public wheat breeding programs to varietal yield improvement during 2007–2012. Both Heckman selection models and multiple regression showed no statistical evidence of the potential presence of selectivity bias rather, managerial practices, agronomic conditions, field location, and inherent genetic traits of the seed variety were identify as the source of yield differences.  相似文献   
54.
孙戈 《价值工程》2014,33(33):151-153
本文分析了宁夏地区数字图书馆的发展现状,剖析了当前宁夏数字图书馆运行与管理中某些方面存在的问题,并依据自己的认识,结合实际和自身工作经验,针对存在的问题提出一些解决思路。  相似文献   
55.
图书馆每年都要购进大量图书。在藏书达到一定的规模后,应控制藏书增长接近于零。保持零增长可以主要考虑剔除过时且不流通、复本过多、内容重复的书籍。被剔除书本则下架更改馆藏地移至外围书库按年份进行密集式排架储藏。  相似文献   
56.
刘洋 《价值工程》2015,(3):292-294
运用问卷调查法对河南省公共图书馆视障服务的现状进行调查,分析河南省公共图书馆视障服务中存在的问题,最后提出相应的解决方案。  相似文献   
57.
The major contribution of this paper is to make use of generalized runs tests (Cho and White, 2011) to analyze the randomness, i.e. the lack of persistence, in both absolute and relative returns of hedge funds. We find that about 42% of the HFR universe exhibit iid absolute returns over the period spanning 2000 to 2012. These funds are mainly found in proportions within the Macro and Equity Hedge strategies. A similar result holds for relative returns. We also find that funds having non-iid returns often exhibit ARCH effects and structural breaks, with largest breaks located within financial crises. Also, only a small percentage displays persistence in their relative performance, 8.2% to 16.7% of the universe, mainly found in proportions within the Relative Value and Event-Driven strategies. The robustness of results is challenged by implementing the tests on a crisis-free period. We find similar results for absolute returns. For relative ones, differences appear across strategies and benchmarks, but still both ARCH and breaks are present. Our work contributes to the hedge fund literature in terms of methodology, portfolio allocation, and performance measurement.  相似文献   
58.
陈晓易  王玉荣  杨震宁 《技术经济》2020,39(7):140-146,158
以2012—2016年沪深两市A股上市公司的数据为依据,通过实证分析研究了企业社会责任对企业价值的影响,并从组织层面和行业层面的视角探讨了组织惰性和行业敏感度对该影响的调节作用。研究结果表明,企业社会责任对企业价值具有显著的促进作用;组织惰性减弱了企业社会责任对企业价值的促进作用;行业敏感度阻碍了企业通过履行社会责任进而提升企业价值的过程。  相似文献   
59.
The paper is concerned with testing normality in samples of curves and error curves estimated from functional regression models. We propose a general paradigm based on the application of multivariate normality tests to vectors of functional principal components scores. We examine finite sample performance of a number of such tests and select the best performing tests. We apply them to several extensively used functional data sets and determine which can be treated as normal, possibly after a suitable transformation. We also offer practical guidance on software implementations of all tests we study and develop large sample justification for tests based on sample skewness and kurtosis of functional principal component scores.  相似文献   
60.
Forecasts are a central component of policymaking; the Federal Reserve's forecasts are published in a document called the Greenbook. Previous studies of the Greenbook's inflation forecasts have found them to be rationalizable but asymmetric if considering particular subperiods, for example, before and after the Volcker appointment. In these papers, forecasts are analyzed in isolation, assuming policymakers value them independently. We analyze the Greenbook forecasts in a framework in which the forecast errors for different variables are allowed to interact. We find that allowing the losses to interact makes the unemployment forecasts virtually symmetric, the output forecasts symmetric prior to the Volcker appointment, and the inflation forecasts symmetric after the onset of the Great Moderation.  相似文献   
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