Finance, Investment & Risk Management
Economics & Global Development
Econometric Models & Mathematics
Financial Markets, Modelling & Pricing
Ph.D
France
2009.09.30
Particular methods for the statistical analysis of mixtures of distributions and of hidden Markov chains
“These models can become so complex that it is sometimes difficult to integrate all the data streams, mainly due to data processing capability,” explains Dr. Jacob. The core aim of his research is to develop new effective methods based on an iterative selection of the most credible models, in order to predict the evolution of time series. In this respect, finance will be a key object of study.
My research focuses on Bayesian Inference in state space models, applications to stochastic volatility estimation and forecasting, model selection in time series, Monte Carlo methods.
Modeling of Time Series
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Pierre
JACOB
Institution
Université Paris Dauphine
Country
France
Nationality
French
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