主题词:Financial Risk and Volatility Modeling; Monetary Policy and Economic Impact; Market Dynamics and Volatility; Financial Markets and Investment Strategies; Stochastic processes and financial applications; Complex Systems and Time Series Analysis; Credit Risk and Financial Regulations; Statistical Methods and Inference; Housing Market and Economics; Stock Market Forecasting Methods; Forecasting Techniques and Applications; Insurance and Financial Risk Management; Banking stability, regulation, efficiency; Risk and Portfolio Optimization; Bayesian Methods and Mixture Models; Insurance, Mortality, Demography, Risk Management; Economic theories and models; Statistical Distribution Estimation and Applications; Corporate Finance and Governance; Hydrology and Drought Analysis; Probability and Risk Models; Advanced Statistical Methods and Models; Spatial and Panel Data Analysis; Capital Investment and Risk Analysis; Italy: Economic History and Contemporary Issues