Provides detailed coverage of the models currently being used in the empirical analysis of financial markets.
Les informations fournies dans la section « Synopsis » peuvent faire référence à une autre édition de ce titre.
This book provides detailed coverage of the variety of models that are currently being used in the empirical analysis of financial markets. Covering bond equity and foreign exchange markets, it is aimed at scholars and practitioners wishing to acquire an understanding of the latest research techniques and findings in the field, and also at graduate students wishing to research in financial markets. The book is divided into two main sections, covering univariate models, and econometric and multivariate techniques respectively. In the former, the areas covered include linear and non-linear stochastic models, random walk, unit root tests, GARCH models, deterministic chaos, trend reversion, and bubbles. In the latter, regression models, time varying parameter models, the Kalman filter, vector autoregressions, present value models, and cointegration are discussed.
'Professor Mills has been remarkably successful in presenting an up-to-date account of the current state of modelling financial time series. The style is informal and non-rigorous ... it can be read from cover to cover with relative ease and enjoyment, or more conventionally used as a reference.' Nigel Meade, International Journal of Forecasting
Les informations fournies dans la section « A propos du livre » peuvent faire référence à une autre édition de ce titre.
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