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Hardle Wolfgang; Herwartz Helmut; Spokoiny Vladimir 《The Journal of Financial Econometrics》2003,1(1):55-95
Price variations at speculative markets exhibit positive autocorrelationand cross correlation. Due to large parameter spaces necessaryfor joint modeling of variances and covariances, multivariateparametric volatility models become easily intractable in practice.We propose an adaptive procedure that identifies periods ofsecond-order homogeneity for each moment in time. To overcomethe high dimensionality of the problem we transform the multivariateseries into a set of univariate processes. We discuss thoroughlythe implementation of the adaptive technique. Theoretical andMonte Carlo results are given. We provide two applications ofthe new method. For a bivariate exchange rate series we comparethe multivariate GARCH approach with our method and find thelatter to be more in line with the underlying assumption ofindependently distributed innovations. Analyzing a 23-dimensionalvector of asset returns we underscore the case for adaptivemodeling in high-dimensional systems. 相似文献
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The Costs of Non-Tariff Barriers to Trade: Evidence from New Zealand. — Recent work on trade policy with imperfect competition indicates that the adverse effects of non-tariff barriers to trade exceed those suggested by traditional theory. With market power in foreign supply, setting a restrictive non-tariff barrier will induce foreign exporters to raise their supply prices. The authors use the experiment provided by the comprehensive New Zealand economic reforms of the mid-1980s. Using panel data on export unit values from Germany and the United States to several destinations including New Zealand, they find some evidence for decreased export prices to New Zealand as a result of the dismantling of non-tariff barriers to trade. 相似文献
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Determinants of Current Account Imbalances in 16 OECD Countries: An Out-Of-Sample Perspective 总被引:1,自引:0,他引:1
We employ panel data as well as country-specific models to uncover empirically the determinants of current account imbalances.
We find evidence of slope heterogeneity likely rendering the fixed-effect estimator inconsistent. Mean group estimation is
followed to overcome the latter difficulty. Both estimation techniques are evaluated by means of in- and out-of-sample criteria.
The mean group estimator outperforms the fixed-effect approach and, moreover, only three economic variables are found to impact
on the current account balance significantly. These are the government budget balance, the domestic output gap and the changes
of the terms of trade. We finally propose a parsimonious dynamic model of the current account, including only these variables
and illustrate that it has similar predictive accuracy as country-specific benchmark models.
JEL no. F32, C23, C53 相似文献
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