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Statistics / Mathematical finance / Actuarial science / Probability distributions / Estimation theory / Technical analysis / Quantile / Volatility / Regression analysis / Value at risk / Normal distribution / Autoregressive conditional heteroskedasticity
Date: 2016-07-08 02:21:56
Statistics
Mathematical finance
Actuarial science
Probability distributions
Estimation theory
Technical analysis
Quantile
Volatility
Regression analysis
Value at risk
Normal distribution
Autoregressive conditional heteroskedasticity

Forecasting Value-at-Risk by Estimating the Quantiles of the Intra-Day Low and High Series Xiaochun Meng & James W. Taylor

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