Scenario assessment investments
Payoff function derivation. Account investors expectations and risk. The simulation scenario macroeconomic variables. The assessment of the likelihood of the scenario and parameter of the Bank. The regression analysis for indicators of the Bank.
Рубрика | Экономика и экономическая теория |
Предмет | Macroeconomics |
Вид | дипломная работа |
Язык | английский |
Прислал(а) | Гришин Д. |
Дата добавления | 06.07.2016 |
Размер файла | 478,0 K |
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