Factor models in high-dimensional time series

dc.contributor.authorHallin, Marc
dc.contributor.authorLippi, Marco
dc.date.accessioned2013-03-20T14:22:22Z
dc.date.available2013-03-20T14:22:22Z
dc.date.issued2013-03-20
dc.description.abstractHigh-dimensional time series may well be the most common type of dataset in the so-called "big data" revolution, and have entered current practice in many areas, including meteorology, genomics, chemometrics, connectomics, complex physics simulations, biological and environmental research, finance and econometrics. The analysis of such datasets poses significant challenges, both from a statistical as from a numerical point of view. The most successful procedures so far have been based on dimension reduction techniques and, more particularly, on high-dimensional factor models. Those models have been developed, essentially, within time series econometrics, and deserve being better known in other areas. In this paper, we provide an original time-domain presentation of the methodological foundations of those models (dynamic factor models usually are described via a spectral approach), contrasting such concepts as commonality and idiosyncrasy, factors and common shocks, dynamic and static principal components. That time-domain approach emphasizes the fact that, contrary to the static factor models favored by practitioners, the so-called general dynamic factor model essentially does not impose any constraints on the data-generating process, but follows from a general representation result.en
dc.identifier.urihttp://hdl.handle.net/2003/30105
dc.identifier.urihttp://dx.doi.org/10.17877/DE290R-5254
dc.language.isoende
dc.relation.ispartofseriesDiscussion Paper / SFB 823;10/2013
dc.subject.ddc310
dc.subject.ddc330
dc.subject.ddc620
dc.titleFactor models in high-dimensional time seriesen
dc.title.alternativeA time-domain approachen
dc.typeTextde
dc.type.publicationtypeworkingPaperde
dcterms.accessRightsopen access

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