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EUR 21,00
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Descrizione libro TAPA DURA. Condizione: New. Codice articolo 100853497
Descrizione libro hardback. Condizione: New. Language: ENG. Codice articolo 9780521429627
Descrizione libro HRD. Condizione: New. New Book. Shipped from UK. Established seller since 2000. Codice articolo FM-9780521429627
Descrizione libro Condizione: new. Codice articolo 87a6e05af425cb750c99dc3a2196c405
Descrizione libro Condizione: New. pp. xv + 270 2nd Edition. Codice articolo 26602124
Descrizione libro Hardback. Condizione: New. New copy - Usually dispatched within 4 working days. Second edition, now explains the history leading up to the biggest economic disaster of the 21st century. Codice articolo B9780521429627
Descrizione libro Hardcover. Condizione: Brand New. 2nd edition. 288 pages. 9.84x7.24x0.71 inches. In Stock. Codice articolo __0521429625
Descrizione libro HRD. Condizione: New. New Book. Shipped from UK. Established seller since 2000. Codice articolo FM-9780521429627
Descrizione libro Condizione: New. pp. xv + 270 Illus. Codice articolo 8294355
Descrizione libro Hardcover. Condizione: new. Hardcover. This second edition presents the advances made in finance market analysis since 2005. The book provides a careful introduction to stochastic methods along with approximate ensembles for a single, historic time series. The new edition explains the history leading up to the biggest economic disaster of the 21st century. Empirical evidence for finance market instability under deregulation is given, together with a history of the explosion of the US Dollar worldwide. A model shows how bounds set by a central bank stabilized FX in the gold standard era, illustrating the effect of regulations. The book presents economic and finance theory thoroughly and critically, including rational expectations, cointegration and arch/garch methods, and replaces several of those misconceptions by empirically based ideas. This book will be of interest to finance theorists, traders, economists, physicists and engineers, and leads the reader to the frontier of research in time series analysis. This second edition presents the advances made in finance market analysis since 2005, and explains the history leading up to the biggest economic disaster of the 21st century. It will lead finance theorists, traders, economists, physicists and engineers to the frontier of research in time series analysis. Shipping may be from our UK warehouse or from our Australian or US warehouses, depending on stock availability. Codice articolo 9780521429627