"Financial Econometrics: Linear and Non-Linear Economic Modelling" offers a comprehensive overview of the principles and techniques used in modeling financial data. This book covers both linear and non-linear econometric models commonly employed in financial analysis, including time series analysis, volatility modeling, and risk management. Through theoretical foundations and practical applications, readers learn how to analyze and interpret financial data, estimate econometric models, and make informed decisions in investment and risk management contexts. Whether you're a student, researcher, or practitioner in finance, economics, or related fields, this book provides valuable insights and tools for understanding and predicting financial market behavior using both linear and non-linear modeling approaches.
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Hardcover. Condition: new. Hardcover. "Financial Econometrics: Linear and Non-Linear Economic Modelling" offers a comprehensive overview of the principles and techniques used in modeling financial data. This book covers both linear and non-linear econometric models commonly employed in financial analysis, including time series analysis, volatility modeling, and risk management. Through theoretical foundations and practical applications, readers learn how to analyze and interpret financial data, estimate econometric models, and make informed decisions in investment and risk management contexts. Whether you're a student, researcher, or practitioner in finance, economics, or related fields, this book provides valuable insights and tools for understanding and predicting financial market behavior using both linear and non-linear modeling approaches. Shipping may be from our UK warehouse or from our Australian or US warehouses, depending on stock availability. Seller Inventory # 9789360848354
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