This handbook presents emerging research exploring the theoretical and practical aspects of econometric techniques for the financial sector and their applications in economics. By doing so, it offers invaluable tools for predicting and weighing the risks of multiple investments by incorporating data analysis. Throughout the book the authors address a broad range of topics such as predictive analysis, monetary policy, economic growth, systemic risk and investment behavior.
This book is a must-read for researchers, scholars and practitioners in the field of economics who are interested in a better understanding of current research on the application of econometric methods to financial sector data."synopsis" may belong to another edition of this title.
Burcu Adiguzel Mercangöz is an expert on quantitative methods and an Associate Professor at the Faculty of Transportation and Logistics, Istanbul University (Turkey). Her research focuses on econometrics, operations research, statistics, management, quantitative methods, mathematics and numerical analysis.
This handbook presents emerging research exploring the theoretical and practical aspects of econometric techniques for the financial sector and their applications in economics. By doing so, it offers invaluable tools for predicting and weighing the risks of multiple investments by incorporating data analysis. Throughout the book the authors address a broad range of topics such as predictive analysis, monetary policy, economic growth, systemic risk and investment behavior.
This book is a must-read for researchers, scholars and practitioners in the field of economics who are interested in a better understanding of current research on the application of econometric methods to financial sector data."About this title" may belong to another edition of this title.
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Condition: New. Dieser Artikel ist ein Print on Demand Artikel und wird nach Ihrer Bestellung fuer Sie gedruckt. Presents both theoretical and practical aspects of econometric techniques for the financial sectorIntroduces important econometric models, theories and applicationsOffers tools that use data analysis to predict and weigh the risks of multip. Seller Inventory # 560620503
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Taschenbuch. Condition: Neu. This item is printed on demand - it takes 3-4 days longer - Neuware -This handbook presents emerging research exploring the theoretical and practical aspects of econometric techniques for the financial sector and their applications in economics.By doing so, it offers invaluable tools for predicting and weighing the risks of multiple investments by incorporating data analysis. Throughout the book the authors address abroad range of topics such as predictive analysis, monetary policy,economic growth, systemic risk and investment behavior.This book is a must-read for researchers, scholars and practitioners in the field of economics who are interested in a better understanding of current research on the application of econometric methods to financial sector data. 476 pp. Englisch. Seller Inventory # 9783030541101
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Taschenbuch. Condition: Neu. Druck auf Anfrage Neuware - Printed after ordering - This handbook presents emerging research exploring the theoretical and practical aspects of econometric techniques for the financial sector and their applications in economics.By doing so, it offers invaluable tools for predicting and weighing the risks of multiple investments by incorporating data analysis. Throughout the book the authors address abroad range of topics such as predictive analysis, monetary policy,economic growth, systemic risk and investment behavior.This book is a must-read for researchers, scholars and practitioners in the field of economics who are interested in a better understanding of current research on the application of econometric methods to financial sector data. Seller Inventory # 9783030541101
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Taschenbuch. Condition: Neu. This item is printed on demand - Print on Demand Titel. Neuware -This handbook presents emerging research exploring the theoretical and practical aspects of econometric techniques for the financial sector and their applications in economics. By doing so, it offers invaluable tools for predicting and weighing the risks of multiple investments by incorporating data analysis. Throughout the book the authors address a broad range of topics such as predictive analysis, monetary policy, economic growth, systemic risk and investment behavior.This book is a must-read for researchers, scholars and practitioners in the field of economics who are interested in a better understanding of current research on the application of econometric methods to financial sector data.Springer Verlag GmbH, Tiergartenstr. 17, 69121 Heidelberg 476 pp. Englisch. Seller Inventory # 9783030541101
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