I want to apply this model for the financial crisis 2008, housing bubble 2007 and European sovereign debt crisis and i don't know which data can be used for this model (what type of stocks and which index is the best), i also don't know which statistical tests are needed to test the efficiency of the model compared to the other 2 models also explained in the paper; can be used a simulation / regressions or GARCH to test it?
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Hi I'm Venkat. I'm an MBA graduate and I have been working as a analyst/ report writer for over 2+ years. I have a good reputation as a writer and as an analyst. Relevant Skills and Experience I'm looking forwar Plus
Specialization in Finance, over the last 4 years, I have successfully completed different projects related to your dissertation / thesis subject topic. Relevant Skills and Experience Accounting and financial analysis Plus
I posses expertise in all the aspects of Financial Analysis, Financial Planning, Statistical Analysis, Financial Modeling, Regression & Correlation, Microeconomics and Macroeconomics etc. Relevant Skills and Experienc Plus
I have worked on this before. We can use Indices data. AAA rate Indices, Banks data (The banks issued premium loans etc). Please review my profile for more detail. Relevant Skills and Experience I have worked on th Plus
We can help you with the financial modeling testing and data analysis. Relevant Skills and Experience I am representing FinVal Research ([login to view URL]) which is a financial research and consultancy firm focus Plus