Financial Mathematics, Volatility and Covariance Modelling (Routledge Advances in Applied Financial Econometrics)

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Management number 233657453 Release Date 2026/06/27 List Price $21.96 Model Number 233657453
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This book provides an up-to-date series of advanced chapters on applied financial econometric techniques pertaining the various fields of commodities finance, mathematics & stochastics, international macroeconomics and financial econometrics. Financial Mathematics, Volatility and Covariance Modelling: Volume 2 provides a key repository on the current state of knowledge, the latest debates and recent literature on financial mathematics, volatility and covariance modelling. The first section is devoted to mathematical finance, stochastic modelling and control optimization. Chapters explore the recent financial crisis, the increase of uncertainty and volatility, and propose an alternative approach to deal with these issues. The second section covers financial volatility and covariance modelling and explores proposals for dealing with recent developments in financial econometricsThis book will be useful to students and researchers in applied econometrics; academics and students seeking convenient access to an unfamiliar area. It will also be of great interest established researchers seeking a single repository on the current state of knowledge, current debates and relevant literature. Read more

ISBN10 0367785587
ISBN13 978-0367785581
Edition 1st
Language English
Publisher Routledge
Dimensions 6.14 x 0.86 x 9.21 inches
Item Weight 1.55 pounds
Print length 370 pages
Part of series Routledge Advances in Applied Financial Econometrics
Publication date March 31, 2021

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