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Batchelor (banking and finance, Cass Business School, UK) and Dua (economics, Delhi School of Economics, India) attempt to provide a broad view of the scope and development of financial forecasting to a broad audience including academics, students, and practitioners. They present 50 papers in all, selected primarily from academic journals and originally published over the course of the past three-and-a-half decades. Although all papers include empirical analysis and forecasts (often showing good-practice applications of forecasting techniques), a significant amount of theoretical material is included. They are organized into sections dealing with the forecasting of earnings, bankruptcy, stock prices, interest rates, exchange rates, and volatility. The editors seek to provide a balanced view of competing techniques, including discussions of time series models and judgment and behavior approaches in the section on earnings; statistical methods and technical analysis in the sections on stock prices and exchange rates; and statistical methods and options-implied volatility in the section on risk. Annotation ©2004 Book News, Inc., Portland, OR (booknews.com)
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Edited by Roy Batchelor, HSBC Professor of Banking and Finance, Cass Business School, City of London University, UK and Pami Dua, Professor of Economics, Delhi School of Economics, India
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Book Description Edward Elgar Pub, 2003. Condition: New. book. Seller Inventory # M1840640340
Book Description Edward Elgar Publishing Ltd, United Kingdom, 2003. Hardback. Condition: New. Language: English . This book usually ship within 10-15 business days and we will endeavor to dispatch orders quicker than this where possible. Brand New Book. This two-volume set brings together some of the most significant previously published articles by leading scholars in the field. The volumes investigate various aspects of financial forecasting including the forecasting of earnings, bankruptcy, stock prices, interest rates, exchange rates and risk. The articles within each section offer an overview of both statistical models and technical analysis in the subject area. The editors have written an authoritative new introduction to complement their selection. Seller Inventory # BTE9781840640342
Book Description Edward Elgar Pub, 2003. HRD. Condition: New. New Book. Shipped from US within 10 to 14 business days. Established seller since 2000. Seller Inventory # T5-9781840640342