Econometrics for Financial Applications

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320,99 

Studies in Computational Intelligence 760

ISBN: 3319892347
ISBN 13: 9783319892344
Herausgeber: Ly H Anh/Le Si Dong/Vladik Kreinovich et al
Verlag: Springer Verlag GmbH
Umfang: xiii, 1081 S., 176 s/w Illustr., 1081 p. 176 illus.
Erscheinungsdatum: 04.09.2018
Auflage: 1/2018
Produktform: Kartoniert
Einband: Kartoniert

This book addresses both theoretical developments in and practical applications of econometric techniques to finance-related problems. It includes selected edited outcomes of the International Econometric Conference of Vietnam (ECONVN2018), held at Banking University, Ho Chi Minh City, Vietnam on January 15-16, 2018.Econometrics is a branch of economics that uses mathematical (especially statistical) methods to analyze economic systems, to forecast economic and financial dynamics, and to develop strategies for achieving desirable economic performance.An extremely important part of economics is finances: a financial crisis can bring the whole economy to a standstill and, vice versa, a smart financial policy can dramatically boost economic development. It is therefore crucial to be able to apply mathematical techniques of econometrics to financial problems. Such applications are a growing field, with many interesting results – and an even larger number of challenges and open problems.

Artikelnummer: 6778274 Kategorie:

Beschreibung

This book addresses both theoretical developments in and practical applications of econometric techniques to finance-related problems. It includes selected edited outcomes of the International Econometric Conference of Vietnam (ECONVN2018), held at Banking University, Ho Chi Minh City, Vietnam on January 15-16, 2018.Econometrics is a branch of economics that uses mathematical (especially statistical) methods to analyze economic systems, to forecast economic and financial dynamics, and to develop strategies for achieving desirable economic performance. An extremely important part of economics is finances: a financial crisis can bring the whole economy to a standstill and, vice versa, a smart financial policy can dramatically boost economic development. It is therefore crucial to be able to apply mathematical techniques of econometrics to financial problems. Such applications are a growing field, with many interesting results - and an even larger number of challenges and open problems.

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E-Mail: juergen.hartmann@springer.com

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