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:: Volume 7, Issue 3 (7-2017) ::
2017, 7(3): 29-34 Back to browse issues page
Estimation the value at risk using an adaptive model
Z. Hosseinpour , H. Panahi
Department of Mathematics and Statistics, Lahijan branch, Islamic Azad University, Lahijan, Iran.
Abstract:   (4130 Views)
The modeling of the volatility is one of the most problems in financial research areas such as pricing derivatives, risk estimation and financial decision-making. In recent years, many attempts have been made to identify the optimal model for better estimation and forecasting of volatility and risk in investment and policies economic. This study aimed to identify and investigate a suitable model for estimating the value at risk in the stock exchange data. Based on the four stock indices, the value at risk is estimated using an adaptive model. Using different criteria, it is observed that the adaptive model has a good performance.
Keywords: Adaptive Model, Risk Management, Conditional Autoregressive Value at Risk, Performance Indices, Stock Exchange
Full-Text [PDF 476 kb]   (1850 Downloads)    
Type of Study: Research | Subject: General
Received: 2017/02/1 | Accepted: 2017/05/29 | Published: 2017/07/15
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Hosseinpour Z, Panahi H. Estimation the value at risk using an adaptive model. International Journal of Applied Operational Research 2017; 7 (3) :29-34
URL: http://ijorlu.liau.ac.ir/article-1-572-en.html


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Creative Commons License This work is licensed under a Creative Commons Attribution-NonCommercial 4.0 International License.
Volume 7, Issue 3 (7-2017) Back to browse issues page
ژورنال بین المللی پژوهش عملیاتی International Journal of Applied Operational Research - An Open Access Journal
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