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Audiobooks & Video Training Quantitative Financial Economics: Stocks, Bonds and Foreign Exchange (Financial Economics and Quantitative Analysis Series)

Posted on 2010-11-24




Name:Audiobooks & Video Training Quantitative Financial Economics: Stocks, Bonds and Foreign Exchange (Financial Economics and Quantitative Analysis Series)
ASIN/ISBN:0471953601
Publisher:Wiley (September 1996)
Publish Date:978-0471953609 , 978-0471953593
Pages:492 Pages
File size:22.8 Mb
Publisher: Wiley (September 1996)
Pages: 492 Pages
File Type: PDF
File Size: 22.8 MB
Other Info: ISBN-10: 0471953601 , 0471953598; ISBN-13: 978-0471953609 , 978-0471953593
   Audiobooks & Video Training Quantitative Financial Economics: Stocks, Bonds and Foreign Exchange (Financial Economics and Quantitative Analysis Series)



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Keith Cuthbertson, «Quantitative Financial Economics: Stocks, Bonds and Foreign Exchange (Financial Economics and Quantitative Analysis Series)»

Quantitative techniques in finance have become vitally important to academics and professionals in the financial markets looking to gain a more profitable edge. Quantitative Financial Economics provides a comprehensive introduction to models of economic behaviour in financial markets, focusing on discrete time series analysis. It covers the most recent theoretical and econometric advances in the field, including:

Models of noise trader behaviour and short-termism

Rational and intrinsic bubbles

Chaos and time varying risk

Non-stationarity and cointegration

Rational expectations

ARCH and GARCH models

The author demonstrates how competing theoretical models may be tested and provides illustrative empirical results and theories from the stock, bond and foreign exchange markets. With a judicious blend of theory and practice Quantitative Financial Economics progresses from simple to more complex theoretical models and empirical tests, making it accessible to both students and practitioners undertaking research into the behaviour of asset returns and prices.

From the Inside Flap

Quantitative Financial Economics provides a comprehensive introduction to models of economic behaviour in financial markets, focusing on analysis in discrete time. Following the huge success of the first edition, this second edition has been fully revised and updated to reflect new developments in theory and practice, including:

Behavioural finance: Preferences, arbitrage and learning

Mean-variance and intertemporal asset allocation

Performance of mutual and hedge funds

Momentum, value-glamour strategies, style investing, market timing.

Stochastic discount factor models: Equity premium and volatility puzzles

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