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Market Risk Analysis II

Innbundet • 2008 • Engelsk

Market Risk Analysis II: Practical Financial Econometrics

Av Carol Alexander

0 vurderinger • 0.0 av 5

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Om boken

Written by leading market risk academic, Professor Carol Alexander, Practical Financial Econometrics forms part two of the Market Risk Analysis four volume set. It introduces the econometric techniques that are commonly applied to finance with a critical and selective exposition, emphasising the areas of econometrics, such as GARCH, cointegration and copulas that are required for resolving problems in market risk analysis. The book covers material for a one-semester graduate course in applied fi...Vis mer

Økonomi, finans, næringsliv og ledelse
Finans og regnskap

Om boken

ISBN

9780470998014

Publiseringsår

2008

Språk

Engelsk

Originaltittel

Market Risk Analysis II

Format

Innbundet

Frakt og retur

Frakt

Brukte bøker sendes av selgeren. Forventet leveringstid etter pakken er sendt er 2-4 dager.

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Omtaler · 0

0 vurderinger • 0.0 av 5

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