Model dezvoltat de analiză a riscului
Journal Title: Revista Romana de Statistica - Year 2012, Vol 60, Issue 6
Abstract
Prin Modelul dezvoltat de analiză a riscului se decide dacă măsurile de control sunt adecvate pentru implementare.Totodată,analiza determină dacă beneficiile unei opţiuni date de control costă mai mult decât implementarea.
Authors and Affiliations
Georgiana Cristina NUKINA
The analysis of the interconnections between the indicators of the external payment balance and the macroeconomic aggregates of results
The payment balance (BP) may be defined, generally, as a statistic image of the international economic transactions between resident and non-resident agents of a country. These transactions are considered during one peri...
ENVIRONMENTAL STATISTICS AND HUMAN ECOLOGY
A complex statistical overview of the economy in a circumstantial manner remains that of the perennial hexagon of major balances, and it is presented in the introduction of this paper. As can be seen, the environment (ec...
ECONOMETRIC MODELS FOR DETERMING THE EXCHANGE RATE
The simple econometric models for the exchange rate, according to recent researches, generates the forecasts with the highest degree of accuracy. This type of models (Simultaneous Equations Model, MA(1) Procedure, Model...
Evidenţierea legaturilor dintre indicatorii macroeconomici prin utilizarea modelului regresiei liniare multiple
Starting from a set of data series including a number of four macroeconomic indicators and a linear multifactorial model, the validity of the regression model is ascertained, and also the nature and intensity of lonks e...
Analiza evoluţiei schimburilor comerciale international ale României
În acest articol, autorii analizează comerţul internaţional al României în decursul ultimilor ani. Demersul de cercetare are în vedere indicatori precum valoarea importurilor şi exporturilor, situaţia pe grupe de produse...