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Beyond Traditional Probabilistic Methods in Economics

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Cover of 'Beyond Traditional Probabilistic Methods in Economics'

Table of Contents

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    Book Overview
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    Chapter 1 Beyond Traditional Probabilistic Methods in Econometrics
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    Chapter 2 Everything Wrong with P-Values Under One Roof
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    Chapter 3 Mean-Field-Type Games for Blockchain-Based Distributed Power Networks
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    Chapter 4 Finance and the Quantum Mechanical Formalism
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    Chapter 5 Quantum-Like Model of Subjective Expected Utility: A Survey of Applications to Finance
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    Chapter 6 Agent-Based Artificial Financial Market
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    Chapter 7 A Closer Look at the Modeling of Economics Data
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    Chapter 8 What to Do Instead of Null Hypothesis Significance Testing or Confidence Intervals
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    Chapter 9 Why Hammerstein-Type Block Models Are so Efficient: Case Study of Financial Econometrics
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    Chapter 10 Why Threshold Models: A Theoretical Explanation
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    Chapter 11 The Inference on the Location Parameters Under Multivariate Skew Normal Settings
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    Chapter 12 Blockchains Beyond Bitcoin: Towards Optimal Level of Decentralization in Storing Financial Data
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    Chapter 13 Why Quantum (Wave Probability) Models Are a Good Description of Many Non-quantum Complex Systems, and How to Go Beyond Quantum Models
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    Chapter 14 Decision Making Under Interval Uncertainty: Beyond Hurwicz Pessimism-Optimism Criterion
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    Chapter 15 Comparisons on Measures of Asymmetric Associations
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    Chapter 16 Proximal Point Method Involving Hybrid Iteration for Solving Convex Minimization Problem and Common Fixed Point Problem in Non-positive Curvature Metric Spaces
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    Chapter 17 New Ciric Type Rational Fuzzy F-Contraction for Common Fixed Points
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    Chapter 18 Common Fixed Point Theorems for Weakly Generalized Contractions and Applications on G-metric Spaces
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    Chapter 19 A Note on Some Recent Strong Convergence Theorems of Iterative Schemes for Semigroups with Certain Conditions
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    Chapter 20 Fixed Point Theorems of Contractive Mappings in $$\mathbf {A}$$-cone Metric Spaces over Banach Algebras
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    Chapter 21 The Relationship Among Education Service Quality, University Reputation and Behavioral Intention in Vietnam
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    Chapter 22 Impact of Leverage on Firm Investment: Evidence from GMM Approach
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    Chapter 23 Oligopoly Model and Its Applications in International Trade
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    Chapter 24 Energy Consumption and Economic Growth Nexus in Vietnam: An ARDL Approach
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    Chapter 25 The Impact of Anchor Exchange Rate Mechanism in USD for Vietnam Macroeconomic Factors
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    Chapter 26 The Impact of Foreign Direct Investment on Structural Economic in Vietnam
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    Chapter 27 A Nonlinear Autoregressive Distributed Lag (NARDL) Analysis on the Determinants of Vietnam’s Stock Market
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    Chapter 28 Explaining and Anticipating Customer Attitude Towards Brand Communication and Customer Loyalty: An Empirical Study in Vietnam’s ATM Banking Service Context
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    Chapter 29 Measuring Misalignment Between East Asian and the United States Through Purchasing Power Parity
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    Chapter 30 Determinants of Net Interest Margins in Vietnam Banking Industry
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    Chapter 31 Economic Integration and Environmental Pollution Nexus in Asean: A PMG Approach
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    Chapter 32 The Threshold Effect of Government’s External Debt on Economic Growth in Emerging Countries
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    Chapter 33 Value at Risk of the Stock Market in ASEAN-5
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    Chapter 34 Impacts of Monetary Policy on Inequality: The Case of Vietnam
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    Chapter 35 Earnings Quality: Does State Ownership Matter? Evidence from Vietnam
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    Chapter 36 Does Female Representation on Board Improve Firm Performance? A Case Study of Non-financial Corporations in Vietnam
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    Chapter 37 Measuring Users’ Satisfaction with University Library Services Quality: Structural Equation Modeling Approach
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    Chapter 38 Analysis of the Factors Affecting Credit Risk of Commercial Banks in Vietnam
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    Chapter 39 Analysis of Monetary Policy Shocks in the New Keynesian Model for Viet Nams Economy: Rational Expectations Approach
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    Chapter 40 The Use of Fractionally Autoregressive Integrated Moving Average for the Rainfall Forecasting
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    Chapter 41 Detection of Structural Changes Without Using P Values
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    Chapter 42 Measuring Internal Factors Affecting the Competitiveness of Financial Companies: The Research Case in Vietnam
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    Chapter 43 Multi-dimensional Analysis of Perceived Risk on Credit Card Adoption
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    Chapter 44 Public Services in Agricultural Sector in Hanoi in the Perspective of Local Authority
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    Chapter 45 Public Investment and Public Services in Agricultural Sector in Hanoi
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    Chapter 46 Assessment of the Quality of Growth with Respect to the Efficient Utilization of Material Resources
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    Chapter 47 Is Lending Standard Channel Effective in Transmission Mechanism of Macroprudential Policy? The Case of Vietnam
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    Chapter 48 Impact of the World Oil Price on the Inflation on Vietnam – A Structural Vector Autoregression Approach
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    Chapter 49 The Level of Voluntary Information Disclosure in Vietnamese Commercial Banks
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    Chapter 50 Corporate Governance Factors Impact on the Earnings Management – Evidence on Listed Companies in Ho Chi Minh Stock Exchange
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    Chapter 51 Empirical Study on Banking Service Behavior in Vietnam
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    Chapter 52 Empirical Study of Worker’s Behavior in Vietnam
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    Chapter 53 Empirical Study of Purchasing Intention in Vietnam
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    Chapter 54 The Impact of Foreign Reserves Accumulation on Inflation in Vietnam: An ARDL Bounds Testing Approach
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    Chapter 55 The Impact of Oil Shocks on Exchange Rates in Southeast Asian Countries - A Markov-Switching Approach
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    Chapter 56 Analysis of Herding Behavior Using Bayesian Quantile Regression
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    Chapter 57 Markov Switching Dynamic Multivariate GARCH Models for Hedging on Foreign Exchange Market
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    Chapter 58 Bayesian Approach for Mixture Copula Model
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    Chapter 59 Modeling the Dependence Among Crude Oil, Stock and Exchange Rate: A Bayesian Smooth Transition Vector Autoregression
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    Chapter 60 Effect of FDI on the Economy of Host Country: Case Study of ASEAN and Thailand
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    Chapter 61 The Effect of Energy Consumption on Economic Growth in BRICS Countries: Evidence from Panel Quantile Bayesian Regression
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    Chapter 62 Analysis of the Global Economic Crisis Using the Cox Proportional Hazards Model
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    Chapter 63 The Seasonal Affective Disorder Cycle on the Vietnam’s Stock Market
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    Chapter 64 Consumers’ Purchase Intention of Pork Traceability: The Moderator Role of Trust
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    Chapter 65 Income Risk Across Industries in Thailand: A Pseudo-Panel Analysis
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    Chapter 66 Evaluating the Impact of Official Development Assistance (ODA) on Economic Growth in Developing Countries
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    Chapter 67 The Effect of Macroeconomic Variables on Economic Growth: A Cross-Country Study
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    Chapter 68 The Effects of Loan Portfolio Diversification on Vietnamese Banks’ Return
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    Chapter 69 An Investigation into the Impacts of FDI, Domestic Investment Capital, Human Resources, and Trained Workers on Economic Growth in Vietnam
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    Chapter 70 The Impact of External Debt to Economic Growth in Viet Nam: Linear and Nonlinear Approaches
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    Chapter 71 The Effects of Macroeconomic Policies on Equity Market Liquidity: Empirical Evidence in Vietnam
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    Chapter 72 Factors Affecting to Brand Equity: An Empirical Study in Vietnam Banking Sector
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    Chapter 73 Factors Influencing to Accounting Information Quality: A Study of Affecting Level and Difference Between in Perception of Importance and Actual Performance Level in Small Medium Enterprises in Ho Chi Minh City
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    Chapter 74 Export Price and Local Price Relation in Longan of Thailand: The Bivariate Threshold VECM Model
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    Chapter 75 Impact of the Transmission Channel of the Monetary Policies on the Stock Market
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    Chapter 76 Can Vietnam Move to Inflation Targeting?
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    Chapter 77 Impacts of the Sectoral Transformation on the Economic Growth in Vietnam
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    Chapter 78 Bayesian Analysis of the Logistic Kink Regression Model Using Metropolis-Hastings Sampling
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    Chapter 79 Analyzing Factors Affecting Risk Management of Commercial Banks in Ho Chi Minh City – Vietnam
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    Chapter 80 The Role of Market Competition in Moderating the Debt-Performance Nexus Under Overinvestment: Evidence in Vietnam
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    Chapter 81 The Moderation Effect of Debt and Dividend on the Overinvestment-Performance Relationship
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    Chapter 82 Time-Varying Spillover Effect Among Oil Price and Macroeconomic Variables
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    Chapter 83 Exchange Rate Variability and Optimum Currency Areas: Evidence from ASEAN
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    Chapter 84 The Firm Performance – Overinvestment Relationship Under the Government’s Regulation
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Title
Beyond Traditional Probabilistic Methods in Economics
Published by
Springer International Publishing, January 2019
DOI 10.1007/978-3-030-04200-4
ISBNs
978-3-03-004199-1, 978-3-03-004200-4
Editors

Vladik Kreinovich, Nguyen Ngoc Thach, Nguyen Duc Trung, Dang Van Thanh

Twitter Demographics

The data shown below were collected from the profiles of 4 tweeters who shared this research output. Click here to find out more about how the information was compiled.

Mendeley readers

The data shown below were compiled from readership statistics for 22 Mendeley readers of this research output. Click here to see the associated Mendeley record.

Geographical breakdown

Country Count As %
Unknown 22 100%

Demographic breakdown

Readers by professional status Count As %
Student > Master 3 14%
Student > Ph. D. Student 3 14%
Researcher 2 9%
Student > Doctoral Student 2 9%
Lecturer > Senior Lecturer 1 5%
Other 2 9%
Unknown 9 41%
Readers by discipline Count As %
Economics, Econometrics and Finance 7 32%
Business, Management and Accounting 3 14%
Computer Science 1 5%
Agricultural and Biological Sciences 1 5%
Immunology and Microbiology 1 5%
Other 1 5%
Unknown 8 36%