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This book provides an up-to-date series of advanced chapters on applied financial econometric techniques pertaining the various fields of commodities finance, mathematics & stochastics, international macroeconomics and financial econometrics.
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Subjects
Econometrics, Mathematical modelling, Statistical modelling, Finance, Macroeconomics, Stochastic Processes, Mathematical statistics, Statistical inference, International finance, Mathematical models, Econometric models, BUSINESS & ECONOMICS / General, BUSINESS & ECONOMICS / Econometrics, BUSINESS & ECONOMICS / FinanceShowing 6 featured editions. View all 6 editions?
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1
International Financial Markets
2021, Taylor & Francis Group, Routledge
in English
0367785560 9780367785567
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2
International Financial Markets: Volume 1
2019, Taylor & Francis Group
in English
1315162776 9781315162775
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3
International Financial Markets: Volume 1
2019, Taylor & Francis Group
in English
1351669206 9781351669207
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4
International Financial Markets: Volume 1
2019, Taylor & Francis Group
in English
1351669192 9781351669191
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zzzz
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5
International Financial Markets: Volume 1
2019, Taylor & Francis Group
in English
1351669214 9781351669214
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6
International Financial Markets: Volume 1
June 28, 2019, Routledge
Paperback; Hardcover
in English
- First Edition
1138060925 9781138060920
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Book Details
Edition Notes
The Routledge Advances in Applied Financial Econometrics series brings together the latest research on econometric techniques and empirical cases in the fields of commodities finance, mathematics and stochastics, international macroeconomics and financial econometrics. It provides a single repository on the current state of knowledge, the latest debates and recent literature in the field.
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Work Description
International Financial Markets: Volume I provides a key repository on the current state of knowledge, the latest debates and recent literature on international financial markets. Against the background of the "financialization of commodities" since the 2008 sub-primes crisis, section one contains recent contributions on commodity and financial markets, pushing the frontiers of applied econometrics techniques. The second section is devoted to exchange rate and current account dynamics in an environment characterized by large global imbalances. Part three examines the latest research in the field of meta-analysis in economics and finance.
This book will be useful to students and researchers in applied econometrics; academics and students seeking convenient access to an unfamiliar area. It will also be of great interest established researchers seeking a single repository on the current state of knowledge, current debates and relevant literature.
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- Created October 11, 2019
- 6 revisions
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December 16, 2022 | Edited by MARC Bot | import existing book |
September 20, 2021 | Edited by ImportBot | import existing book |
October 11, 2019 | Edited by Kaustubh Chakraborty | Added new cover |
October 11, 2019 | Edited by Kaustubh Chakraborty | Added new book |
October 11, 2019 | Created by Kaustubh Chakraborty | Added new book. |