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Titlebook: Dynamic Analysis in Complex Economic Environments; Essays in Honor of C Herbert Dawid,Jasmina Arifovic Book 2021 Springer Nature Switzerlan

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Uwe Andersen,Dieter Grosser,Wichard Woyke with the help of such models generally outperform the market index and in many cases also the risk-based benchmark (minimum variance). In part, higher returns can be explained by exposure to factors such as momentum and value. Nevertheless, a substantial part of the performance cannot be explained by standard asset-pricing models.
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Christoph Bronder,Rudolf Pritzlrove financial stability without jeopardizing output and credit supply. Moreover, macroprudential regulation applied to systemic important banks might be counterproductive for systemic groups of banks.
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Book 2021 and computational methods, the contributors examine various aspects of optimal firm behaviour and relevant policy areas. Topics covered include optimal control, dynamic games, economic decision-making, and applications in finance and economics, as well as policy implications in areas such as pollut
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