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Financial Econometrics读书介绍

类别 页数 译者 网友评分 年代 出版社
书籍 576页 2020 Wiley
定价 出版日期 最近访问 访问指数
USD 105.00 2020-02-20 … 2020-03-03 … 7
主题/类型/题材/标签
金融,数学,Econometrics,计量,Financial,英文原版,quantitative,financial,
作者
Svetlozar T. Rachev      ISBN:9780471784500    原作名/别名:《》
内容和作者简介
Financial Econometrics摘要

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A comprehensive guide to financial econometrics Financial econometrics is a quest for models that describe financial time series such as prices, returns, interest rates, and exchange rates. In Financial Econometrics, readers will be introduced to this growing discipline and the concepts and theories associated with it, including background material on probability ...

作者简介

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A comprehensive guide to financial econometrics Financial econometrics is a quest for models that describe financial time series such as prices, returns, interest rates, and exchange rates. In Financial Econometrics, readers will be introduced to this growing discipline and the concepts and theories associated with it, including background material on probability theory and statistics. The experienced author team uses real–world data where possible and brings in the results of published research provided by investment banking firms and journals. Financial Econometrics clearly explains the techniques presented and provides illustrative examples for the topics discussed. Svetlozar T. Rachev, PhD (Karlsruhe, Germany) is currently Chair–Professor at the University of Karlsruhe. Stefan Mittnik, PhD (Munich, Germany) is Professor of Financial Econometrics at the University of Munich. Frank J. Fabozzi, PhD, CFA, CFP (New Hope, PA) is an adjunct professor of Finance at Yale University’s School of Management. Sergio M. Focardi (Paris, France) is a founding partner of the Paris–based consulting firm The Intertek Group. Teo Jasic, PhD, (Frankfurt, Germany) is a senior manager with a leading international management consultancy firm in Frankfurt.

本书后续版本
未发行或暂未收录
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