Browsing All of EconStor by Author Bernardi, Mauro
Showing results 1 to 4 of 4
Year of Publication | Title | Author(s) |
2015 | Interconnected risk contributions: A heavy-tail approach to analyze U.S. financial sectors | Bernardi, Mauro; Petrella, Lea |
2019 | High-dimensional sparse financial networks through a regularised regression model | Bernardi, Mauro; Costola, Michele |
2020 | Bayesian econometrics | Bernardi, Mauro; Grassi, Stefano; Ravazzolo, Francesco |
2020 | Bayesian econometrics | Bernardi, Mauro; Grassi, Stefano; Ravazzolo, Francesco |