Model teoretic utilizat în analiza macroeconomică

Journal Title: Revista Romana de Statistica - Year 2016, Vol 64, Issue 7

Abstract

În realizarea prognozelor macroeconomice, ca descrieri formale ale evenimentelor viitoare, se pot utiliza diverse modele, de complexitate şi arie de cuprindere diferite, mergând până la aplicarea de tehnici şi modele sofisticate din instrumentarul statisticii şi econometriei. Pentru a ridica nivelul de semnificaţie al prognozelor, cei care le realizează nu aplică un singur mode, aşadar modelele formale şi informale se constituie ca factori de influenţă ai prognozei finale.

Authors and Affiliations

Keywords

Related Articles

Assurance of Export Products and Services Superior Quality

Quality became the management imperative in the last time and will continue to be the key to success in the future. We often see the words “quality first”, and demands for quality invade every sphere of activity, from th...

Key measures in ensuring sustainable development in european higher education: recommendations for Romania

The aims of this paper are (1) to identify the European countries where the higher education area best fits the sustainable development concept, (2) to investigate the key measures that have proven to be efficient in the...

Econodinamica, un nou sector de cercetare al ştiinţei economice

The author proposes the concept of econo-dynamics, considered as a research sector of the economic science, oriented towards the study of principles, laws and impact factors, effects and trends in the evolution and growt...

The Evolution of the Services to the Population

In market economies, which practice the system of national accounts, services are considered a very important branch of the national economy, because, together with the satisfaction of the material needs of the populatio...

Diagnosis of the Financial-Banking Risk

The analysis of risk takes into account the identification of the risk sources, the measurement of risk by using appropriate methods, and several adjustment procedures destined to eliminate risk.

Download PDF file
  • EP ID EP96364
  • DOI -
  • Views 199
  • Downloads 0

How To Cite

(2016). Model teoretic utilizat în analiza macroeconomică. Revista Romana de Statistica, 64(7), 53-60. https://europub.co.uk/articles/-A-96364