Economics, Econometrics and Finance
Risk Management
100%
Financial Modelling
66%
Statistical Method
33%
Industry
33%
Robust Statistics
33%
Financial Risk
33%
Duration Analysis
33%
Machine Learning
33%
Outlier
33%
Volatility
33%
Management Strategy
33%
Mathematics
Survival Data
33%
Parametric
22%
Survival Time
16%
Statistical Distribution
16%
Maximum Likelihood
11%
Healthcare Data
11%
Extreme Value
11%
Wide Range
11%
Gaussian Distribution
11%
Statistical Method
5%
Outlier
5%
Statistical Approach
5%
Likelihood Approach
5%
Statistical Technique
5%
Likelihood Function
5%
Asymmetric
5%
Statistical Hypothesis Testing
5%
Distributed Data
5%
Parameter Estimate
5%
Minimizes
5%
Individual Life
5%
Real-World Data
5%
Heavy-Tailed Distribution
5%
Rayleigh
5%
Survival Analysis
5%
Risk Analysis
5%
Streamlines
5%
Simulation Study
5%
Maximum Likelihood
5%
Asymptotics
5%
Mathematics
5%
Scale Parameter
5%
Approximates
5%
Laplace Operator
5%
Parametric Model
5%
Value at Risk
5%
Proposition
5%
Classical Statistic
5%
Index Number
5%
Computer Science
Statistical Distribution
16%
maximum-likelihood
16%
Risk Management
11%
Healthcare Data
11%
Simulation Experiment
11%
Likelihood Estimation
11%
Literature Review
11%
Academic Community
5%
Statistical Approach
5%
Message Passing
5%
Data Modeling
5%
Informed Decision
5%
Financial Data
5%
Computer Science
5%
Risk Analysis
5%
Traditional Model
5%
Conventional Model
5%
Scientific Field
5%
Simulation Study
5%
Traditional Method
5%
Development Framework
5%
Negative Consequence
5%
Individual Life
5%
Scale Parameter
5%
Mathematical Property
5%
Inference Technique
5%
Learning System
5%
Statistical Technique
5%
Massive MIMO
5%
Technological Progress
5%
Channel Estimation
5%
Value at Risk
5%
Academic Field
5%
Exponential Distribution
5%
Machine Learning
5%
Utmost Importance
5%
Laplace Operator
5%
Parameter Estimate
5%
Economic Efficiency
5%
Decision Making
5%