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Measurement of Economic Forecast Accuracy: A Systematic Overview of the Empirical Literature (CROSBI ID 303395)

Prilog u časopisu | izvorni znanstveni rad | međunarodna recenzija

Buturac, Goran Measurement of Economic Forecast Accuracy: A Systematic Overview of the Empirical Literature // Journal of risk and financial management, 15 (2022), 1; 1, 28. doi: 10.3390/jrfm15010001

Podaci o odgovornosti

Buturac, Goran

engleski

Measurement of Economic Forecast Accuracy: A Systematic Overview of the Empirical Literature

The primary purpose of the paper is to enable deeper insight into the measurement of economic forecast accuracy. The paper employs the systematic literature review as its research methodology. It is also the first systematic review of the measures of economic forecast accuracy conducted in scientific research. The citation-based analysis confirms the growing interest of researchers in the topic. Research on economic forecast accuracy is continuously developing and improving with the adoption of new methodological approaches. An overview of the limits and advantages of the methods used to assess forecast accuracy not only facilitate the selection and application of appropriate measures in future analytical works but also contribute to a better interpretation of the results. In addition to the presented advantages and disadvantages, the chronological presentation of methodological development (measures, tests, and strategies) provides an insight into the possibilities of further upgrading and improving the methodological framework. The review of empirical findings, in addition to insight into existing results, indicates insufficiently researched topics. All in all, the results presented in this paper can be a good basis and inspiration for creating new scientific contributions in future works.

economic forecasts ; accuracy ; measurement ; systematic review

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Podaci o izdanju

15 (1)

2022.

1

28

objavljeno

1911-8066

1911-8074

10.3390/jrfm15010001

Povezanost rada

Ekonomija

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