Bayesian Forecasting for Financial Risk Management, Pre and Post the Global Financial Crisis
Article first published online: 26 MAY 2011
Copyright © 2011 John Wiley & Sons, Ltd.
Journal of Forecasting
Volume 31, Issue 8, pages 661–687, December 2012
How to Cite
Chen, C. W.S., Gerlach, R., Lin, Edward M. H. and Lee, W. C. W. (2012), Bayesian Forecasting for Financial Risk Management, Pre and Post the Global Financial Crisis. J. Forecast., 31: 661–687. doi: 10.1002/for.1237
- Issue published online: 18 OCT 2012
- Article first published online: 26 MAY 2011
- Manuscript Revised: 29 OCT 2010
- Manuscript Received: 20 OCT 2008
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