The effects of risk modelling: Assessing value-at-risk accuracy
This study examines Value-at-Risk (VaR) models that are integrated with several volatility representations to estimate the market risk for seven nonfinancial sectors traded on the first board of the Malaysian stock exchange. In a sample that spanned 19 years from1993 until 2012 for construction, con...
Published in: | Institutions and Economies |
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Main Author: | Baharul-Ulum Z.K.A.; Ahmad I.; Salamudin N.; Daud N.M. |
Format: | Article |
Language: | English |
Published: |
Faculty of Economics and Administration
2015
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Online Access: | https://www.scopus.com/inward/record.uri?eid=2-s2.0-84938689976&partnerID=40&md5=0505624fcb551a05228a8760ceec50d4 |
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