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  • Statistics for Social and Behavioral Sciences Part B.rar

    本附件包括:
    • (Statistics for Social and Behavioral Sciences) The kernel method of test equating-Springer (2004).pdf
    • (Statistics for Social and Behavioral Sciences) Relative Distribution Methods in the Social Sciences (1999).pdf
    • (Statistics for Social and Behavioral Sciences) Seasonal Adjustment Methods and Real Time Trend-Cycle Estimation-Springer International Publishing (2016).pdf
    • (Statistics for Social and Behavioral Sciences) Statistical Confidentiality_ Principles and Practice(2011).pdf
    • (Statistics for Social and Behavioral Sciences) Statistical Modeling of the National Assessment of Educational Progress-Springer-Verlag New York (2011).pdf
    • (Statistics for Social and Behavioral Sciences) Statistical Models for Test Equating, Scaling, and Linking(2011).pdf
    • (Statistics for Social and Behavioral Sciences) Statistics for Lawyers(2015).pdf
    • (Statistics for Social and Behavioral Sciences) Test Equating, Scaling, and Linking_ Methods and Practices-Springer-Verlag New York (2014).pdf
    • (Statistics for Social and Behavioral Sciences) The Basics of Item Response Theory Using R-Springer International Publishing (2017).pdf
    • (Statistics for Social and Behavorial Sciences) Introduction to Variance Estimation -Springer (2007).pdf
    • (Statistics for Social Science and Public Policy) Explanatory Item Response Models_ A Generalized Linear and Nonlinear Approach-Sp.pdf
    • (Statistics for Social Science and Public Policy) Generalizability Theory-Springer-Verlag New York (2001).pdf
    • (Statistics for Social Science and Public Policy) Prove It with Figures_ Empirical Methods in Law and Litigation(1997).pdf
    • (Statistics for Social Science and Public Policy) Statistical Science in the Courtroom(2000).pdf
    • (Statistics for social science and public policy) Statistics for Lawyers-Springer (2001).pdf
    • (Statistics for social science and public policy) Statistics for Lawyers-Springer (2007).pdf
    • (Statistics for Social Science and Public Policy) Test Equating, Scaling, and Linking_ Methods and Practices-Springer New York (2004).pdf
  • 90.84 MB
  • 2017-9-13
  • Kurt F. Geisinger et al (eds.)-APA Handbook of Testing and Assessment in Psychol.rar

    本附件包括:
    • Kurt F. Geisinger et al (eds.)-APA Handbook of Testing and Assessment in Psychology, Vol. 1_ Test Theory and Testing and Assessment in Industrial and Organizational Psychology-American Psychological A.pdf
  • 6.32 MB
  • 2017-5-23
  • 1-20.rar

    本附件包括:
    • 1 white_1980.pdf
    • 2prospect theory.pdf
    • 3.pdf
    • 4 engle.pdf
    • 5 Heckman1979.pdf
    • 6 BS.pdf
    • 7 DF TEST.pdf
    • 8 Johansen.pdf
    • 9 Cleveland1979.pdf
    • 10 engle82.pdf
    • 11 hausman.pdf
    • 12.pdf
    • 13 AkerlofMarketforLemons.pdf
    • 14.pdf
    • 15 lucasmechanicseconomicgrowth.pdf
    • 16 Romer.pdf
    • 17 Hansen.pdf
    • 18.pdf
    • 19.pdf
    • 20 fama.pdf
  • 17.86 MB
  • 2016-6-13
  • Topic 49-66.rar

    本附件包括:
    • Topic 66 - self test.pdf
    • Topic 66.pdf
    • Topic 49 - VaR Methods.pdf
    • Topic 49.pdf
    • Topic 50.pdf
    • Topic 51.pdf
    • Topic 52.pdf
    • Topic 53.pdf
    • Topic 54.pdf
    • Topic 55.pdf
    • Topic 56.pdf
    • Topic 57.pdf
    • Topic 58.pdf
    • Topic 59.pdf
    • Topic 64.pdf
    • Topic 63.pdf
    • Topic 62.pdf
    • Topic 60.pdf
    • Topic 61.pdf
    • Topic 65.pdf
  • 8.54 MB
  • 2016-2-25
  • Topic 30-48.rar

    本附件包括:
    • Topic 48 - self test.pdf
    • Topic 48.pdf
    • Topic 30.pdf
    • Topic 31.pdf
    • Topic 32.pdf
    • Topic 33.pdf
    • Topic 34.pdf
    • Topic 35.pdf
    • Topic 36.pdf
    • Topic 37.pdf
    • Topic 38.pdf
    • Topic 39.pdf
    • Topic 40.pdf
    • Topic 41.pdf
    • Topic 44.pdf
    • Topic 47.pdf
    • Topic 42.pdf
    • Topic 46.pdf
    • Topic 45.pdf
    • Topic 43.pdf
  • 8.23 MB
  • 2016-2-25
  • Topic 15-29.rar

    本附件包括:
    • Topic 29 - self test.pdf
    • Topic 29.pdf
    • Topic 15 - The Time Value of Money.pdf
    • Topic 15.PDF
    • Topic 16.PDF
    • Topic 17.PDF
    • Topic 18.PDF
    • Topic 19.pdf
    • Topic 20.pdf
    • Topic 21.PDF
    • Topic 22.PDF
    • Topic 25.PDF
    • Topic 26.pdf
    • Topic 27.pdf
    • Topic 28.pdf
    • Topic 24.pdf
    • Topic 23.pdf
  • 8.48 MB
  • 2016-2-25
  • Topic 49-66.rar

    本附件包括:
    • Topic 66 - self test.pdf
    • Topic 66.pdf
    • Topic 49 - VaR Methods.pdf
    • Topic 49.pdf
    • Topic 50.pdf
    • Topic 51.pdf
    • Topic 52.pdf
    • Topic 53.pdf
    • Topic 54.pdf
    • Topic 55.pdf
    • Topic 56.pdf
    • Topic 57.pdf
    • Topic 58.pdf
    • Topic 59.pdf
  • 6.47 MB
  • 2016-2-25
  • Topic 30-48.rar

    本附件包括:
    • Topic 48 - self test.pdf
    • Topic 48.pdf
    • Topic 30.pdf
    • Topic 31.pdf
    • Topic 32.pdf
    • Topic 33.pdf
    • Topic 34.pdf
    • Topic 35.pdf
    • Topic 36.pdf
    • Topic 37.pdf
    • Topic 38.pdf
    • Topic 39.pdf
    • Topic 40.pdf
    • Topic 41.pdf
    • Topic 44.pdf
  • 5.81 MB
  • 2016-2-25
  • Topic 15-29.rar

    本附件包括:
    • Topic 29 - self test.pdf
    • Topic 29.pdf
    • Topic 15 - The Time Value of Money.pdf
    • Topic 15.PDF
    • Topic 16.PDF
    • Topic 17.PDF
    • Topic 18.PDF
    • Topic 19.pdf
    • Topic 20.pdf
    • Topic 21.PDF
    • Topic 22.PDF
    • Topic 25.PDF
    • Topic 26.pdf
    • Topic 27.pdf
    • Topic 28.pdf
  • 7.58 MB
  • 2016-2-25
  • Topic 1-14.rar

    本附件包括:
    • Topic 14 - self test.pdf
    • Topic 14.PDF
    • Topic 1.pdf
    • Topic 2.pdf
    • Topic 3.pdf
    • Topic 4.pdf
    • Topic 5.pdf
    • Topic 6.pdf
    • Topic 7.pdf
    • Topic 8.pdf
    • Topic 9.pdf
    • Topic 10.PDF
    • Topic 11.PDF
    • Topic 12.PDF
    • Topic 13.PDF
  • 5.25 MB
  • 2016-2-25
  • 1980 to 1989.rar

    本附件包括:
    • 1985 An Intertemporal General Equilibrium Model Of Asset Prices.pdf
    • 1986 Informational Efficiency And Information Subsets.pdf
    • 1986 Noise.pdf
    • 1986 The Efficient Market Hypothesis On Trial.pdf
    • 1988 Permanent And Temporary Components Of Stock Prices.pdf
    • 1989 Efficient Capital Markets And Martingales.pdf
    • 1980 Back On The Track With The Efficient Markets Hypothesis.pdf
    • 1980 Inside Information, Market Information And Efficient Markets.pdf
    • 1980 On The Impossibility Of Informationally Efficient Markets.pdf
    • 1981 An Integrated View Of Tests Of Rationality, Market Efficiency, And The Short-Run Neutrality Of Monetary Policy.pdf
    • 1981 Investing With Ben Graham-An Ex Ante Test Of The Efficient Markets Hypothesis.pdf
    • 1981 Testing The Efficiency Of The Canadian-U.S. Exchange Market Under The Assumption Of No Risk Premium.pdf
    • 1981 The Speculative Efficiency Hypothesis.pdf
    • 1983 A Relationship Between Regression Tests And Volatility Tests Of Market Efficiency.pdf
    • 1983 Arbitrage, Factor Structure, And Mean-Variance Analysis On Large Asset.pdf
    • 1984 Efficient Markets And The Professional Investor.pdf
    • 1984 Stock Market Panics-A Test Of The Efficient Market Hypothesis.pdf
  • 15.79 MB
  • 2010-5-5
  • 1980 to 1989.rar

    本附件包括:
    • 1985 An Intertemporal General Equilibrium Model Of Asset Prices.pdf
    • 1986 Informational Efficiency And Information Subsets.pdf
    • 1986 Noise.pdf
    • 1986 The Efficient Market Hypothesis On Trial.pdf
    • 1988 Permanent And Temporary Components Of Stock Prices.pdf
    • 1989 Efficient Capital Markets And Martingales.pdf
    • 1980 Back On The Track With The Efficient Markets Hypothesis.pdf
    • 1980 Inside Information, Market Information And Efficient Markets.pdf
    • 1980 On The Impossibility Of Informationally Efficient Markets.pdf
    • 1981 An Integrated View Of Tests Of Rationality, Market Efficiency, And The Short-Run Neutrality Of Monetary Policy.pdf
    • 1981 Investing With Ben Graham-An Ex Ante Test Of The Efficient Markets Hypothesis.pdf
    • 1981 Testing The Efficiency Of The Canadian-U.S. Exchange Market Under The Assumption Of No Risk Premium.pdf
    • 1981 The Speculative Efficiency Hypothesis.pdf
    • 1983 A Relationship Between Regression Tests And Volatility Tests Of Market Efficiency.pdf
    • 1983 Arbitrage, Factor Structure, And Mean-Variance Analysis On Large Asset.pdf
    • 1984 Efficient Markets And The Professional Investor.pdf
    • 1984 Stock Market Panics-A Test Of The Efficient Market Hypothesis.pdf
  • 15.79 MB
  • 2010-3-24
  • Test equating.rar

    本附件包括:
    • LINKING AND ANCHORING.pdf
    • LinkingEquatingScaling.pdf
    • Models for equating and comparability.pdf
    • Passing Points and Test Equating.pdf
    • showpdf.pdf
    • Summary of New York State Test Equating Procedures 2002 – 2005.pdf
    • TEST EQUATING-2.pdf
    • Test Equating by Common Items and Common Subjects-concepts and application.pdf
    • TEST EQUATING.pdf
    • Test_equating_report_final.pdf
    • Testequating.ppt
    • THE BEHAVIOR OF LINKING ITEMS IN TEST EQUATING.pdf
    • THE STATISTICAL MODEL FOR TEST EQUATING.pdf
    • A BAYESIAN NONPARAMETRIC APPROACH TO TEST EQUATING.pdf
    • A Comparison of Four test equating methods.pdf
    • Basic Concepts in Modern Methods of Test Equating.pdf
    • Chapter18-Equating.pdf
    • EQUATING TEST SCORES(without IRT).pdf
    • FieldTestingandEquatingDesignsforStateEducationalAssessments.pdf
    • handout_equating.pdf
    • Impact of Scoring Options for Not Reached Items in CAT.pdf
    • Investigating Different Item Response Models in Equating.pdf
    • IRT equating methods.pdf
    • IRT Equating of the MCAT.pdf
    • IRT True-Score Test Equating.pdf
    • Item Response Theory Test Equating in Health Sciences Education.pdf
  • 8.25 MB
  • 2010-3-10
  • 249121.rar
       以实现 波动率最新的相关文章

    本附件包括:
    • realized volatility reviews.pdf
    • Realized Range-Based Estimation of Integrated Variance2006.pdf
    • the distribution of realized exchange rate volatility JASA.pdf
    • Modeling and forecasting realized volatility 2001b.pdf
    • PredictVol.pdf
    • ABM2_Revised.pdf
    • 中国股市已实现波动率的跳跃行为研究.pdf
    • 高频金融数据市场微观结构噪音误差.pdf
    • stock volatility and crash 87 1990.pdf
    • The variability of the market factor of the NYSE.1973 officer.pdf
    • stock market volatility Schwert 1990a.pdf
    • 已实现波动和已实现极差波动的比较研究.pdf
    • power and bipower variation with stochastic volatilty and jumps.pdf
    • Econometrics of Testing for Jumps in Financial Economics Using Bipower Variation.pdf
    • 基于金融高频数据波动率计算方法的比较研究.pdf
    • Measuring volatiltiy with the realized range 2008.pdf
  • 10.73 MB
  • 2008-9-21
  • 223032.rar
       【合集】100篇准备金文章

    本附件包括:
    • 用双广义线性模型预测非寿险未决赔款准备金.pdf
    • ESTIMATING THE WORKERS’ COMPENSATION TAIL RICHARD E. SHERMAN AND GORDON F. DISS .pdf
    • ESTIMATORS AND BOOTSTRAP CONFIDENCE INTERVALS FOR RUIN PROBABILITIES .pdf
    • FITTING TWEEDIE'S COMPOUND POISSON MODEL TO INSURANCE CLAIMS DATA.pdf
    • Generalized Linear Models Beyond the Exponential Family with Loss Reserve Applications.pdf
    • GLM Basic Modeling Avoiding Common Pitfalls.pdf
    • GLM III Advanced Modeling Strategy.pdf
    • IBNR FACTORS.pdf
    • IBNR Reserve Under a Loglinear Location-Scale Regression Model.pdf
    • IBNR索赔准备金均匀最小方差的无偏估计.pdf
    • Interpretations of Semi-Parametric Mixture Models.pdf
    • Largest Claims Reinsurance Premiums under Possible Claims Dependence.pdf
    • Local Mixtures and Exponential Dispersion Models.pdf
    • Loss Development Using Credibility.pdf
    • LOSS RESERVING METHODS.pdf
    • Loss Reserving Using Claim-Level Data.pdf
    • Loss Reserving with Limited Data.pdf
    • Mack_Venter.pdf
    • Measuring the Variability of Chain Ladder Reserve Estimates.pdf
    • Method of Testing Loss Reserves.pdf
    • Methods and Models of Loss Reserving Based on Run-Off Triangles_ A Unifying Survey.pdf
    • methods for IBNR.pdf
    • MODEL FOR IBNR CLAIMS.pdf
    • On the Analysis of the Truncated Generalized Poisson Distribution Using a Bayesian Method.pdf
    • On the Distribution of Discounted Loss Reserves Using Generalized Linear Models.pdf
    • On the Distribution of Discounted Loss.pdf
    • Parameter Estimation for Bornhuetter_Ferguson.pdf
    • Predictive Distributions for Reserves which Separate True IBNR.pdf
    • Refining Reserve Runoff Ranges.pdf
    • report on An approach to the analysis of claims experience in excess of loss reinsurance.pdf
    • Some remarks on IBNR evaluation techniques.pdf
    • STOCHASTIC CLAIMS INFLATION IN IBNR.pdf
    • STOCHASTIC CLAIMS RESERVING IN GENERAL INSURANCE By P. D. England and R. J. Verrall.pdf
    • Stochastic ReservingMack and Bootstrapping.pdf
    • THE ACTUARY AND IBNR.pdf
    • THE CLAIMS RESERVING PROBLEM IN NON-LIFE INSURANCE SOME STRUCTURAL IDEAS.pdf
    • The Estimation Error in the Chain-Ladder Reserving Method_A Bayesian Approach.pdf
    • The Modified Bornhuetter-Ferguson Approach To IBNR Allocation.pdf
    • The Path of the Ultimate Loss Ratio estimate..pdf
    • The Path of the Ultimate Loss Ratio Estimate.pdf
    • The Prediction Error of the Chain Ladder Method Applied to Correlated Run-off Triangles.pdf
    • Using Claim Department Work Measurement Systems to Determine Claim Adjustment Expense Reserves.pdf
    • Variance and Covariance in Reserves Due to Inflation.pdf
    • Which Stochastic Model is Underlying the Chain Ladder Method.pdf
    • 保险公司IBNR准备金财务规定的实证研究.pdf
    • 产险业已发生已报案未决赔款准备金评估差异性实证分析.pdf
    • 非寿险责任准备金评估.pdf
    • 广义线性模型在非寿险精算中的应用及其研究进展.pdf
    • 广义线性模型在汽车保险定价的应用.pdf
    • 我国保险公司IBNR准备金的财务核算内涵.pdf
    • 修正IBNR法的算法及其简化.pdf
    • ESTIMATING THE TAILS OF LOSS SEVERITY DISTRIBUTIOINS .pdf
  • 27.06 MB
  • 2008-6-27
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