Risk and Volatility. Theory, Methods and Econometric Modelling

Marius Matei

Risk and Volatility. Theory, Methods and Econometric Modelling

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This book is aimed to primarily serve as a textbook to students in Economics and Finance who study the concept of risk through the lens of econometric modelling. It may well serve as textbook for the Econometrics or Investments courses, at both undergraduate and graduate levels. It can also be used by researchers, regulators, public servants and practitioners as it proposes to assess the risk topic in the context of foreign investment decisions.


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Carți de acelaș autor: Marius Matei


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