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Parametric Models and Their Tails

Hult, Henrik, 1975- (author)
KTH,Matematisk statistik
Lindskog, Filip (author)
KTH,Matematik (Inst.)
Hammarlid, O. (author)
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Rehn, C. J. (author)
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 (creator_code:org_t)
2012-06-06
2012
English.
In: Springer Series in Operations Research and Financial Engineering. - New York, NY : Springer Nature. ; , s. 231-271
  • Book chapter (peer-reviewed)
Abstract Subject headings
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  • In this chapter we consider approaches to selecting a parametric family of distributions for a random variable and approaches to estimating the parameters. We also present techniques for analyzing the tails of the chosen probability distribution and the effect of the tails on the estimation of risk measures. Finally, we consider a semiparametric approach to the estimation of tail probabilities. It provides an alternative to relying on a full parametric model in order to produce estimates of tail probabilities beyond the range of the sample data.

Subject headings

NATURVETENSKAP  -- Matematik -- Sannolikhetsteori och statistik (hsv//swe)
NATURAL SCIENCES  -- Mathematics -- Probability Theory and Statistics (hsv//eng)

Keyword

Generalize Pareto Distribution
Parametric Bootstrap
Parametric Family
Reference Distribution
Tail Probability

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ref (subject category)
kap (subject category)

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Hult, Henrik, 19 ...
Lindskog, Filip
Hammarlid, O.
Rehn, C. J.
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NATURAL SCIENCES
NATURAL SCIENCES
and Mathematics
and Probability Theo ...
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Royal Institute of Technology

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