Analysis of financial data
Year of publication: |
2006
|
---|---|
Authors: | Koop, Gary |
Publisher: |
Chichester [u.a.] : Wiley |
Subject: | Finance | Mathematical models | Econometric models | Finanzwirtschaft | Mathematisches Modell | Ökonometrisches Modell |
Description of contents: | Table of Contents [digitool.hbz-nrw.de] |
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The international library of financial econometrics
Lo, Andrew W., (2007)
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Quantitative risk management : concepts, techniques and tools
McNeil, Alexander J., (2005)
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Financial modeling under non-Gaussian distributions
Jondeau, Eric, (2007)
- More ...
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Testing for Integration using Evolving Trend and Seasonals Models: A Bayesian Approach
Koop, Gary, (1997)
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Testing for Integration using Evolving Trend and Seasonals Models: A Bayesian Approach
Koop, Gary, (1999)
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Estimating Phillips curves in turbulent times using the ECB's survey of professional forecasters
Koop, Gary, (2012)
- More ...