Capturing Macro‐Economic Tail Risks with Bayesian Vector Autoregressions.

Autor: CARRIERO, ANDREA (AUTHOR) a.carriero@qmul.ac.uk, CLARK, TODD E. (AUTHOR) todd.clark@clev.frb.org, MARCELLINO, MASSIMILIANO (AUTHOR) massimiliano.marcellino@unibocconi.it
Zdroj: Journal of Money, Credit & Banking (John Wiley & Sons, Inc.). Aug2024, Vol. 56 Issue 5, p1099-1127. 29p.
Databáze: Business Source Ultimate
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