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381
Management of Sustainable Development of the Fuel and Energy Complex of the Regional Economic System Based on Digital Technologies
Published 2024-12-01“…To do this, based on statistics for the regions of Russia in 2022, an econometric model for managing the sustainable development of the fuel and energy complex of the regional economic system based on digital technologies is compiled using the method of regression analysis. …”
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382
Genebanks and market participation: evidence from groundnut farmers in Malawi
Published 2022-03-01“…Methods Pedigree data obtained through consultations with genebank scientists and breeders were used in combination with a three-wave balanced household-level panel dataset of 447 smallholder farmers in Malawi. Different econometric techniques were used, including a double hurdle model to understand market participation and quantity of groundnuts sold. …”
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383
Revisiting Balassa-Samuelson Hypothesis for Asia – A Critical Appraisal of Literature
Published 2023-01-01“…The selection of price indicators for the construction of real exchange rate series, choice of econometric methodology and the theoretical framework followed are aspects of the empirical verification of the Balassa-Samuelson hypothesis that need to be handled with great caution since they turn out to be most sensitive in relation to yielding intuitively correct and robust model estimates. …”
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384
Productivity and socioeconomic sustainability of Bubalus bubalis in the western lowlands of Venezuela
Published 2023-11-01“… The productivity and socioeconomic sustainability of Bubalus bubalis was compared to that of Bos indicus (as a reference), using an econometric livestock simulator in the low-lands of Barinas, Venezuela. …”
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385
Impact of Livelihood Diversification on Rural Households’ Food and Nutrition Security: Evidence from West Shoa Zone of Oromia Regional State, Ethiopia
Published 2025-01-01“…Descriptive statistics (frequencies, percentages, and cross-tabs) and econometric models [multinomial logit model and multinomial endogenous switching regression (MESR) model] were employed to analyze the quantitative data. …”
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386
Stochastic production function-based assessment of the performance of climate risk management in agriculture: Methods and applications
Published 2024-12-01“…[Objective] As global warming progresses, it is of utmost importance to scientifically evaluate the effectiveness of climate risk management to enhance the capacity to adapt to climate change. The econometric analysis framework based on the stochastic production function has been widely utilized in the assessment of climate risk management effectiveness. …”
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387
Spatiotemporal Characteristics and Influential Factors of Electronic Cigarette Web-Based Attention in Mainland China: Time Series Observational Study
Published 2025-02-01“…A variance inflation factor test was performed to avoid multicollinearity. A spatial panel econometric model was developed to assess the determinants of e-cigarette web-based attention. …”
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388
How does the concentration of spatial allocation of urban construction land across cities affect carbon emission intensity in China?
Published 2025-01-01“…., urban carbon emissions data, construction land area data, and socio-economic data) from 2005 to 2020 and applying econometric models: fixed effect model, mediating effect model, and spatial Durbin model. …”
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389
Energy Poverty and Its Effect on Economic Growth in Türkiye
Published 2024-12-01“…For this reason this study examines data from 2007 to 2021 comprising 15 years of annual data with DOLS and FMOLS panel econometric techniques across 26 regions of Türkiye, to uncover the association between energy poverty and economic growth. …”
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390
Overcoming barriers to the development of clean and digital energy start-ups: access to credit and protection of minority investors' rights
Published 2024-12-01“…Employing a rigorous methodology, the study analyses a comprehensive dataset encompassing 18 countries and timespan 2000–2023.Using econometric models such as Ordinary Least Squares, Fixed Effects and Random Effects, the research evaluates relationships between independent variables and start-up performance metrics, including the number of ventures in clean and digital energy sectors. …”
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391
Designing a Model for Credit Risk Assessment of Customers for Guarantees Issued by the Export Guarantee Fund of Iran via Artificial Neural Network Model
Published 2023-12-01“…., 69 independent variables) was predicted with 96.2% accuracy, which is more than the Probit econometric model. ConclusionThe findings of this research offer the capability to distinguish between customers with favorable and unfavorable credit profiles. …”
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392
Analyzing the Influence of Company's Business Strategy and Its Components as a Factor of Information Risk on Excess Stock Returns
Published 2024-12-01“…The analytical process adhered to established econometric principles and best practices, ensuring the integrity and credibility of the research. …”
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393
Natural Resource Rent and Financial Development: Testing Financial Resource Curse Hypothesis in Iran
Published 2024-12-01“…Given the importance of the relationship between the financial sector and the abundance of natural resources for necessary policymaking on the path to economic growth and development, this study aims to examine and investigate the relationship between the abundance of natural resources and financial development in Iran using various financial development indicators and different econometric methods. Methodology: In order to investigate and empirically analyze the long-term and short-term dynamic relationship between variables, this research employs the Autoregressive Distributed Lag (ARDL) bounding test approach. …”
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394
Business targeting in Iran: a hybrid simulation-optimization approach
Published 2024-12-01“…In a situation where Keynes' views were involved in a theoretical challenge by the traditional Chicago monetarist school led by Friedman and his followers such as Schwartz and Phelps, Lucas' criticism of econometric models and emphasis on the importance of deep coefficients and relationships resulting from rational optimization, along with scientific efforts by Svensson and Woodford on the need to provide models with time consistency in the 1970s led to the definition of a new monetary rule by Taylor in the early 1990s (Svensson, 1997; Woodford, 2001; Taylor, 2000). …”
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