Search results for "Econometric"

showing 10 items of 3780 documents

Migration and students' performance: detecting geographical differences following a curves clustering approach

2020

Students’ migration mobility is the new form of migration: students migrate to improve their skills and become more valued for the job market. The data regard the migration of Italian Bachelors who enrolled at Master Degree level, moving typically from poor to rich areas. This paper investigates the migration and other possible determinants on the Master Degree students’ performance. The Clustering of Effects approach for Quantile Regression Coefficients Modelling has been used to cluster the effects of some variables on the students’ performance for three Italian macro-areas. Results show evidence of similarity between Southern and Centre students, with respect to the Northern ones.

Statistics and ProbabilityComputingMilieux_THECOMPUTINGPROFESSIONApplication NotesComputer scienceClustering of curveeducationJob marketQuantile regressionCensored and truncated dataQuantile regressionComputingMilieux_COMPUTERSANDEDUCATIONEconometricsSettore SECS-S/05 - Statistica SocialeStatistics Probability and UncertaintySettore SECS-S/01 - StatisticaCluster analysisStudents’performanceJournal of Applied Statistics
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Liquidity-adjusted value-at-risk optimization of a multi-asset portfolio using a vine copula approach

2019

Abstract This paper develops a novel approach to assess liquidity-adjusted Value-at-Risk (LVaR) optimization of multi-asset portfolios based on vine copulas and LVaR models. This framework is applied to stock markets of the G-7 countries, gold, commodities and Bitcoin. The results show that our approach is superior to the classical mean–variance Markowitz portfolio technique in terms of the optimal portfolio selection under a number of realistic operational and budget constraints. We find that both Bitcoin and gold improves the risk-return performance of the G-7 stock portfolio. However, Bitcoin (gold) performs better under a scenario of only long-positions (when short-selling is allowed).

Statistics and ProbabilityCondensed Matter Physics01 natural sciences010305 fluids & plasmasMarket liquidityVine copulaStock portfolio0103 physical sciencesEconometricsEconomicsPortfolioPortfolio optimization010306 general physicsBudget constraintValue at riskStock (geology)Physica A: Statistical Mechanics and its Applications
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Quick counts from non-selected polling stations

2008

Countless examples of misleading forecasts on behalf of both campaign and exit polls affecting, among others, British, French, and Spanish elections could be found. This has seriously damaged their image. Therefore, procedures should be used that minimize errors, especially on election night when errors are more noticeable, in order to maintain people's trust in surveys. This paper proposes a method to obtain quick and early outcome forecasts on the election night. The idea is to partly sample some (whatever) polling stations and use the consistency that polling stations show between elections to predict the final results. Model accuracy is analysed through simulation using seven different …

Statistics and ProbabilityConsistency (statistics)Computer scienceOrder (business)StatisticsEconometricsSample (statistics)Statistics Probability and UncertaintyPollingOutcome (probability)Journal of Applied Statistics
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Regional Inequalities in Consumption Patterns: A Multilevel Approach to the Case of Italy

2007

Summary The main aim of this paper is to evaluate the disparities in the Italian regions on the demand side. In more detail, an attempt will be made to find if the consumption behaviour of Italian households is different in the regions. With this in mind, Istat's 2000 Italian Family Budget data set was analysed. The data in question, which were collected through a two-stage sample over Italy's 20 regions, contains information regarding the expenses of approximately 23,000 households. In this analysis, both households and regions are considered as units: households are nested in the regions so that the basic data structure is hierarchical. In order to take this hierarchical structure into ac…

Statistics and ProbabilityConsumption (economics)InequalitySettore SECS-S/02 - Statistica Per La Ricerca Sperimentale E Tecnologicamedia_common.quotation_subjectMultilevel modelSample (statistics)Context (language use)multilevel modelConsumption patternGeographyOrder (exchange)Income distributionEconometricsStatistics Probability and Uncertaintyregional inequalitiesLevel of analysismedia_commonDemographyInternational Statistical Review
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Properties of Design-Based Functional Principal Components Analysis.

2010

This work aims at performing Functional Principal Components Analysis (FPCA) with Horvitz-Thompson estimators when the observations are curves collected with survey sampling techniques. One important motivation for this study is that FPCA is a dimension reduction tool which is the first step to develop model assisted approaches that can take auxiliary information into account. FPCA relies on the estimation of the eigenelements of the covariance operator which can be seen as nonlinear functionals. Adapting to our functional context the linearization technique based on the influence function developed by Deville (1999), we prove that these estimators are asymptotically design unbiased and con…

Statistics and ProbabilityContext (language use)Mathematics - Statistics TheoryStatistics Theory (math.ST)Perturbation theory01 natural sciencesVariance estimationHorvitz–Thompson estimatorSurvey sampling010104 statistics & probabilityLinearization[MATH.MATH-ST]Mathematics [math]/Statistics [math.ST]0502 economics and businessStatisticsConsistent estimatorFOS: Mathematicsvon Mises expansionApplied mathematicsHorvitz-Thompson estimator[ MATH.MATH-ST ] Mathematics [math]/Statistics [math.ST]0101 mathematicsComputingMilieux_MISCELLANEOUS050205 econometrics MathematicsEigenfunctionsInfluence functionApplied Mathematics05 social sciencesMathematical statisticsEstimator[STAT.TH]Statistics [stat]/Statistics Theory [stat.TH]Covariance operatorCovariance16. Peace & justice[ STAT.TH ] Statistics [stat]/Statistics Theory [stat.TH]Delta methodModel-assisted estimationStatistics Probability and Uncertainty
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Test Procedures in Configural Frequency Analysis (CFA) Controlling the Local and Multiple Level

1987

The test statistics used until now in the CFA have been developed under the assumption of the overall hypothesis of total independence. Therefore, the multiple test procedures based on these statistics are really only different tests of the overall hypothesis. If one likes to test a special cell hypothesis, one should only assume that this hypothesis is true and not the whole overall hypothesis. Such cell tests can then be used as elements of a multiple test procedure. In this paper it is shown that the usual test procedures can be very anticonservative (except of the two-dimensional, and, for some procedures, the three-dimensional case), and corrected test procedures are developed. Further…

Statistics and ProbabilityContingency tableGeneral MedicineTest (assessment)StatisticsPortmanteau testEconometricsChi-square testTest statisticStatistics Probability and UncertaintyConfigural frequency analysisIndependence (probability theory)MathematicsStatistical hypothesis testingBiometrical Journal
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Spatio-temporal modelling of COVID-19 incident cases using Richards’ curve: An application to the Italian regions

2021

Abstract We introduce an extended generalised logistic growth model for discrete outcomes, in which spatial and temporal dependence are dealt with the specification of a network structure within an Auto-Regressive approach. A major challenge concerns the specification of the network structure, crucial to consistently estimate the canonical parameters of the generalised logistic curve, e.g. peak time and height. We compared a network based on geographic proximity and one built on historical data of transport exchanges between regions. Parameters are estimated under the Bayesian framework, using Stan probabilistic programming language. The proposed approach is motivated by the analysis of bot…

Statistics and ProbabilityCoronavirus disease 2019 (COVID-19)Computer scienceNetwork structureGeographic proximityCOVID-19COVID-19; conditional auto-regressive; Stan; generalised logistic growthManagement Monitoring Policy and LawConditional Auto-RegressiveCOVID-19 Conditional Auto-Regressive Stan generalised logistic growthStanEconometricsIndependence (mathematical logic)Bayesian frameworkComputers in Earth SciencesLogistic functionProbabilistic programming languageSettore SECS-S/01 - StatisticaSettore SECS-S/01generalised logistic growth
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Second-order diagnostics for space-time point processes with application to seismic events

2008

A diagnostic method for space-time point process is introduced and used to interpret and assess the goodness of fit of particular models to real data such as the seismic ones. The proposed method is founded on the definition of a weighted process and allows to detect second-order features of data, like long-range dependence and fractal behavior, that are not accounted for by the fitted model. Applications to earthquake data are provided. Copyright © 2008 John Wiley & Sons, Ltd.

Statistics and ProbabilityDiagnostic methodsComputer scienceEcological ModelingSpace timeProcess (computing)ResidualPoint processFractalGoodness of fitOrder (business)EconometricsSettore SECS-S/01 - StatisticaAlgorithmPoint processes residual analysis second-order features ETAS model seismic processEnvironmetrics
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Intensity estimation for inhomogeneous Gibbs point process with covariates-dependent chemical activity

2014

Recent development of intensity estimation for inhomogeneous spatial point processes with covariates suggests that kerneling in the covariate space is a competitive intensity estimation method for inhomogeneous Poisson processes. It is not known whether this advantageous performance is still valid when the points interact. In the simplest common case, this happens, for example, when the objects presented as points have a spatial dimension. In this paper, kerneling in the covariate space is extended to Gibbs processes with covariates-dependent chemical activity and inhibitive interactions, and the performance of the approach is studied through extensive simulation experiments. It is demonstr…

Statistics and ProbabilityDimensionality reductionNonparametric statisticsPoisson distributionPoint processsymbols.namesakeDimension (vector space)CovariatesymbolsEconometricsStatistics::MethodologyStatistical physicsStatistics Probability and UncertaintySmoothingMathematicsParametric statisticsStatistica Neerlandica
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Analyzing environmental‐trait interactions in ecological communities with fourth‐corner latent variable models

2021

In ecological community studies it is often of interest to study the effect of species related trait variables on abundances or presence-absences. Specifically, the interest may lay in the interactions between environmental and trait variables. An increasingly popular approach for studying such interactions is to use the so-called fourth-corner model, which explicitly posits a regression model where the mean response of each species is a function of interactions between covariate and trait predictors (among other terms). On the other hand, many of the fourth-corner models currently applied in the literature are too simplistic to properly account for variation in environmental and trait resp…

Statistics and ProbabilityEcological ModelingLatent variableeliöyhteisötcommunity analysisGeneralized linear mixed modelekologiajoint species distribution modelgeneralized linear mixed modelmultivariate abundance datamonimuuttujamenetelmätCommunity analysisEconometricsTraitvariational approximationtilastolliset mallitfourth-corner problemympäristönmuutoksetMathematics
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