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文献汇总
[1] Dynamics of the market states in the space of correlation matrices with applications to financial markets
相关矩阵空间中的市场状态动力学及其在金融市场中的应用
[2] Multiplicative Error Models
乘性误差模型
[3] Micro level dynamics in hidden action situations with limited information
有限信息下隐藏行为情境的微观动力学
[4] Economic development and the structure of cross technology interactions
经济发展与跨技术互动结构
[5] The climate in climate economics
气候经济学中的气候
[6] Geometric insights into robust portfolio construction with gearing
稳健投资组合结构的几何分析
[7] Sissy That Walk
娘娘腔
[8] A Lucas Critique Compliant SVAR model with Observation driven Time varying Parameters
观测驱动时变参数的Lucas批判相容SVAR模型
[9] End to End Risk Budgeting Portfolio Optimization with Neural Networks
基于神经网络的端到端风险预算组合优化
[10] Waiting to Borrow From a 457(b) Plan
等待从457(b)计划中借款
[11] The unreasonable effectiveness of optimal transport in economics
经济学中最优运输的不合理有效性
[12] Geographic Spillover Effects of Prescription Drug Monitoring Programs (PDMPs)
处方药监测项目的地理溢出效应
[13] Sustained cost declines in solar PV and battery storage needed to eliminate coal generation in India
印度需要太阳能光伏和电池储存的持续成本下降来消除煤炭发电
[14] E Learning and its Socioeconomics
网络学习及其社会经济学
[15] The Experimenters Dilemma
实验者的困境
[16] Recursive Utility with Investment Gains and Losses
带投资损益的递推效用
[17] Deep Risk Model
深度风险模型
[18] Can we improve the environmental benefits of biobased PET production through local 1 biomass value chains A life cycle assessment perspective
从生命周期评估的角度看,我们能否通过生物量价值链提高生物基PET生产的环境效益
[19] Latent Seasonal and Secular Periodicities Identified in the Dynamics of US FDA Medical Devices (1976 2020)
美国FDA医疗器械动态中确定的潜在季节性和长期周期(1976-2020)
[20] Debt Swapping for Risk Mitigation in Financial Networks
金融网络中的债务交换风险缓释
[21] Characterization of the probability and information entropy of a process with an increasing sample space by different functional forms of expansion, with an application to hyperinflation
用不同函数展开形式刻画样本空间增加过程的概率和信息熵及其在恶性通货膨胀中的应用
[22] Are Rents Excessive in the Central City
中心城市的房租过高吗
[23] Predicting Risk adjusted Returns using an Asset Independent Regime switching Model
基于资产独立制度转换模型的风险调整收益预测
[24] Investor Behavior Modeling by Analyzing Financial Advisor Notes
基于财务顾问票据分析的投资者行为建模
[25] Collective intelligence and the blockchain
集体智慧与区块链
[26] Endogenous viral mutations, evolutionary selection, and containment policy design
内源性病毒突变、进化选择和遏制政策设计
[27] Centralized Matching with Incomplete Information
不完全信息集中匹配
[28] Simulation of Multidimensional Diffusions with Sticky Boundaries via Markov Chain Approximation
基于马尔可夫链逼近的粘性边界多维扩散模拟
[29] Deep Learning for Mean Field Games and Mean Field Control with Applications to Finance
平均场对策和平均场控制的深度学习及其在金融中的应用