Risk and Volatility. Theory, Methods and Econometric Modelling
Preț 55 lei
[ carte epuizată ]
ISBN  978-973-709-989-1
An apariție  2021
Nr. de pagini  280
Format  17x24
Culoare interior 
negru
Legătorie  broșat
Copertă  carton mediaprint
Anvelopă  nu
Semn de carte  nu
Limba  română
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Descriere
This book is aimed to primarily serve as a textbook to students in Economics and Finance who study the concept of risk through the lens of econometric modelling. It may well serve as textbook for the Econometrics or Investments courses, at both undergraduate and graduate levels. It can also be used by researchers, regulators, public servants and practitioners as it proposes to assess the risk topic in the context of foreign investment decisions.
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