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Handbook of Research on Emerging Theories, Models, and Applications of Financial Econometrics

Handbook of Research on Emerging Theories, Models, and Applications of Financial Econometrics

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  • More about Handbook of Research on Emerging Theories, Models, and Applications of Financial Econometrics


This handbook provides valuable insights into econometric techniques for the financial sector, offering tools for predicting and evaluating investment risks. It covers topics such as predictive analysis, monetary policy, economic growth, systemic risk, and investment behavior, making it a must-read for researchers, scholars, and practitioners.

Format: Paperback / softback
Length: 457 pages
Publication date: 19 February 2022
Publisher: Springer Nature Switzerland AG


This comprehensive handbook delves into the cutting-edge research exploring the theoretical and practical aspects of econometric techniques for the financial sector and their applications in economics. By presenting these invaluable tools for predicting and assessing the risks associated with multiple investments through data analysis, the book empowers readers to make informed decisions. Spanning a wide range of topics, including predictive analysis, monetary policy, economic growth, systemic risk, and investment behavior, the authors offer insightful perspectives and insights. This book is a vital resource for researchers, scholars, and practitioners in the field of economics seeking to deepen their understanding of the latest developments in the application of econometric methods to financial sector data.

Introduction


The financial sector plays a crucial role in the global economy, and its analysis requires sophisticated econometric techniques. This handbook aims to provide a comprehensive exploration of these techniques, their applications, and their potential implications for the future.

Theoretical Aspects of Econometric Techniques


The theoretical foundations of econometric techniques are discussed in detail in this section. The authors examine the principles of statistical inference, model selection, and estimation, and their relevance to the financial sector. They also discuss the challenges associated with data analysis in the context of financial markets, such as volatility, liquidity, and non-stationarity.

Practical Applications of Econometric Techniques


The practical applications of econometric techniques in the financial sector are explored in this section. The authors discuss the use of these techniques for predicting financial market trends, analyzing risk factors, and evaluating investment opportunities. They also highlight the importance of incorporating real-world data into econometric models to improve their accuracy and reliability.

Conclusion


In conclusion, this handbook presents emerging research exploring the theoretical and practical aspects of econometric techniques for the financial sector and their applications in economics. By offering invaluable tools for predicting and assessing the risks associated with multiple investments through data analysis, the book empowers readers to make informed decisions. The comprehensive coverage of topics and the insightful perspectives provided by the authors make this book a must-read for researchers, scholars, and practitioners in the field of economics seeking to deepen their understanding of the latest developments in the application of econometric methods to financial sector data.

Weight: 724g
Dimension: 235 x 155 (mm)
ISBN-13: 9783030541101
Edition number: 1st ed. 2021

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