Quantitative Financial Economics
The book aimed at students on quantitative MSc’s in finance and financial economics and should also be useful on PhD programmes. Any finance practitioners who want to get a handle on strategic investment decisions. It is a tailor made for master and PhD students and includes texts and exercises that enable the students to keep track of their progress. Researchers will find it particularly useful as a source of recent results in behavioral finance and decision theory. This book provides authoritative accounts of major new topics in financial economics and general quantitative analysis. It includes both macro and micro economics and its aim is to be of interest to practitioners and policy-makers as well as the wider academic community. The development of new techniques and ideas in econometrics are discussed, which are now being applied to a wide range of areas and markets. In turn this will contribute to the growth of knowledge, the exchange of scientific information and techniques and the development of cooperation in the field of economics.
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