Handbook Of Financial Econometrics Mathematics Statistics And Machine Learning In 4 Volumes

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This four-volume handbook covers important concepts and tools used in the fields of financial econometrics, mathematics, statistics, and machine learning. Econometric methods have been applied in asset pricing, corporate finance, international finance, options and futures, risk management, and in stress testing for financial institutions. This handbook discusses a variety of econometric methods, including single equation multiple regression, simultaneous equation regression, and panel data analysis, among others. It also covers statistical distributions, such as the binomial and log normal distributions, in light of their applications to portfolio theory and asset management in addition to their use in research regarding options and futures contracts.In both theory and methodology, we need to rely upon mathematics, which includes linear algebra, geometry, differential equations, Stochastic differential equation (Ito calculus), optimization, constrained optimization, and others. These forms of mathematics have been used to derive capital market line, security market line (capital asset pricing model), option pricing model, portfolio analysis, and others.In recent times, an increased importance has been given to computer technology in financial research. Different computer languages and programming techniques are important tools for empirical research in finance. Hence, simulation, machine learning, big data, and financial payments are explored in this handbook.Led by Distinguished Professor Cheng Few Lee from Rutgers University, this multi-volume work integrates theoretical, methodological, and practical issues based on his years of academic and industry experience.

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Genre : Business & Economics
Author : Cheng Few Lee
Publisher : World Scientific
Release : 2020-07-30
File : 5053 Pages
ISBN-13 : 9789811202407


Business Information Sources

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Annotated bibliography and guide to sources of information on business and management - includes material reating to accounting, taxation, computers and management information systems, insurance, real estate business, marketing, personnel management, labour relations, etc.

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Genre : Business & Economics
Author : Lorna M. Daniells
Publisher : Univ of California Press
Release : 1976-01-01
File : 456 Pages
ISBN-13 : 0520029461


Proceedings Of The 2022 International Conference On Mathematical Statistics And Economic Analysis Msea 2022

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This is an open access book. 2022 International Conference on Mathematical Statistics and Economic Analysis(MSEA 2022) will be held in Dalian, China from May 27 to 29, 2022. Based on probability theory, mathematical statistics studies the statistical regularity of a large number of random phenomena, and infers and forecasts the whole. Economic development is very important to people's life and the country. Through data statistics and analysis, we can quickly understand the law of economic development. This conference combines mathematical statistics and economic analysis for the first time to explore the relationship between them, so as to provide a platform for experts and scholars in the field of mathematical statistics and economic analysis to exchange and discuss.

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Genre : Mathematics
Author : Gaikar Vilas Bhau
Publisher : Springer Nature
Release : 2022-12-22
File : 1514 Pages
ISBN-13 : 9789464630428


Handbook Of Research On Emerging Theories Models And Applications Of Financial Econometrics

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This handbook presents emerging research exploring the theoretical and practical aspects of econometric techniques for the financial sector and their applications in economics. By doing so, it offers invaluable tools for predicting and weighing the risks of multiple investments by incorporating data analysis. Throughout the book the authors address a broad range of topics such as predictive analysis, monetary policy, economic growth, systemic risk and investment behavior. This book is a must-read for researchers, scholars and practitioners in the field of economics who are interested in a better understanding of current research on the application of econometric methods to financial sector data.

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Genre : Business & Economics
Author : Burcu Adıgüzel Mercangöz
Publisher : Springer Nature
Release : 2021-02-17
File : 465 Pages
ISBN-13 : 9783030541088


Major Decisions

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Genre : Education
Author : Terry Ward
Publisher : Wintergreen Orchard House
Release : 2006-10
File : 173 Pages
ISBN-13 : 9781933119526


The Mathematics Of Banking And Finance

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Throughout banking, mathematical techniques are used. Some of these are within software products or models; mathematicians use others to analyse data. The current literature on the subject is either very basic or very advanced. The Mathematics of Banking offers an intermediate guide to the various techniques used in the industry, and a consideration of how each one should be approached. Written in a practical style, it will enable readers to quickly appreciate the purpose of the techniques and, through illustrations, see how they can be applied in practice. Coverage is extensive and includes techniques such as VaR analysis, Monte Carlo simulation, extreme value theory, variance and many others. A practical review of mathematical techniques needed in banking which does not expect a high level of mathematical competence from the reader

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Genre : Business & Economics
Author : Dennis Cox
Publisher : John Wiley & Sons
Release : 2006-05-01
File : 310 Pages
ISBN-13 : 9780470028889


Handbook Of Research On Behavioral Finance And Investment Strategies Decision Making In The Financial Industry

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In an ever-changing economy, market specialists strive to find new ways to evaluate the risks and potential reward of economic ventures by assessing the importance of human reaction during the economic planning process. The Handbook of Research on Behavioral Finance and Investment Strategies: Decision Making in the Financial Industry presents an interdisciplinary, comparative, and competitive analysis of the thought processes and planning necessary for individual and corporate economic management. This publication is an essential reference source for professionals, practitioners, and managers working in the field of finance, as well as researchers and academicians interested in an interdisciplinary approach to combine financial management, sociology, and psychology.

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Genre : Business & Economics
Author : Copur, Zeynep
Publisher : IGI Global
Release : 2015-01-31
File : 559 Pages
ISBN-13 : 9781466674851


Banking Finance And Accounting Concepts Methodologies Tools And Applications

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With the global economy still in recovery, it is more important than ever for individuals and organizations to be aware of their money and its potential for both depreciation and growth. Banking, Finance, and Accounting: Concepts, Methodologies, Tools, and Applications investigates recent advances and undertakings in the financial industry to better equip all members of the world economy with the tools and insights needed to weather any shift in the economic climate. With chapters on topics ranging from investment portfolios to credit unions, this multi-volume reference source will serve as a crucial resource for managers, investors, brokers, and all others within the banking industry.

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Genre : Business & Economics
Author : Management Association, Information Resources
Publisher : IGI Global
Release : 2014-07-31
File : 1626 Pages
ISBN-13 : 9781466662698


Career Opportunities In Banking Finance And Insurance Second Edition

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Profiles current industry trends and salaries and career profiles include Insurance account executive, banking customer service representative, financial analyst, tax preparer and more.

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Genre : Business & Economics
Author : Thomas Fitch
Publisher : Infobase Publishing
Release : 2007
File : 286 Pages
ISBN-13 : 9781438110653


Methods Of Mathematical Finance

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This sequel to Brownian Motion and Stochastic Calculus by the same authors develops contingent claim pricing and optimal consumption/investment in both complete and incomplete markets, within the context of Brownian-motion-driven asset prices. The latter topic is extended to a study of equilibrium, providing conditions for existence and uniqueness of market prices which support trading by several heterogeneous agents. Although much of the incomplete-market material is available in research papers, these topics are treated for the first time in a unified manner. The book contains an extensive set of references and notes describing the field, including topics not treated in the book. This book will be of interest to researchers wishing to see advanced mathematics applied to finance. The material on optimal consumption and investment, leading to equilibrium, is addressed to the theoretical finance community. The chapters on contingent claim valuation present techniques of practical importance, especially for pricing exotic options.

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Genre : Mathematics
Author : Ioannis Karatzas
Publisher : Springer
Release : 2017-01-10
File : 426 Pages
ISBN-13 : 9781493968459