Financial Econometrics, Mathematics and Statistics

Financial Econometrics, Mathematics and Statistics

EnglishHardbackPrint on demand
Lee Cheng-Few
Springer-Verlag New York Inc.
EAN: 9781493994274
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Detailed information

This rigorous textbook introduces graduate students to the principles of econometrics and statistics with a focus on methods and applications in financial research. Financial Econometrics, Mathematics, and Statistics introduces tools and methods important for both finance and accounting that assist with asset pricing, corporate finance, options and futures, and conducting financial accounting research. 

Divided into four parts, the text begins with topics related to regression and financial econometrics. Subsequent sections describe time-series analyses; the role of binomial, multi-nomial, and log normal distributions in option pricing models; and the application of statistics analyses to risk management. The real-world applications and problems offer students a unique insight into such topics as heteroskedasticity, regression, simultaneous equation models, panel data analysis, time series analysis, and generalized method of moments. 

Written by leading academics in the quantitative finance field, allows readers to implement the principles behind financial econometrics and statistics through real-world applications and problem sets.  This textbook will appeal to a less-served market of upper-undergraduate and graduate students in finance, economics, and statistics.  ​



EAN 9781493994274
ISBN 1493994271
Binding Hardback
Publisher Springer-Verlag New York Inc.
Publication date June 4, 2019
Pages 655
Language English
Dimensions 254 x 178
Country United States
Readership Professional & Scholarly
Authors Chen, Hong-Yi; Lee Cheng-Few; Lee, John
Illustrations 57 Illustrations, color; 72 Illustrations, black and white; XX, 655 p. 129 illus., 57 illus. in color.
Edition 2019 ed.
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