Fredj Jawadi - Böcker
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10 produkter
10 produkter
Del 20 - International Symposia in Economic Theory and Econometrics
Nonlinear Modeling of Economic and Financial Time-Series
Inbunden, Engelska, 2010
1 172 kr
Skickas inom 7-10 vardagar
Within the subprime crisis (2007) and the recent global financial crisis of 2008-2009, we have observed significant decline, corrections and structural changes in most US and European financial markets. Furthermore, it seems that this crisis has been rapidly transmitted toward the most developed and emerging countries and has strongly affected the whole economy. This volume aims to present recent researches in linear and nonlinear modelling of economic and financial time-series. The several discussions of empirical results of its chapters clearly help to improve the understanding of the financial mechanisms inherent to this crisis. They also yield an important overview on the sources of the financial crisis and its main economic and financial consequences. The book provides the audience a comprehensive understanding of financial and economic dynamics in various aspects using modern financial econometric methods. It addresses the empirical techniques needed by economic agents to analyze the dynamics of these markets and illustrates how they can be applied to the actual data. It also presents and discusses new research findings and their implications.
Del 22 - International Symposia in Economic Theory and Econometrics
Recent Developments in Alternative Finance
Empirical Assessments and Economic Implications
Inbunden, Engelska, 2012
1 456 kr
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Since the global financial crisis began in 2008-2009, there has been a strong decline in financial markets and investment, and significant economic recession for most developed and emerging economies. Accordingly, new forms of alternative finance, management, control, accounting, trading and investment are being sought. Alternative finance presents challenges intended to stimulate investment and promote economic growth and development, as well as provide a return on investment during turbulent times. This volume aims to provide the reader with a comprehensive understanding of alternative finance in its various forms. It addresses the impact of the financial crisis and the failure of monetary and financial institutions to manage financial markets and handle the recent downturn. It also presents and discusses new research findings associated with alternative forms of investment and finance, and their economic and political implications.
Del 24 - International Symposia in Economic Theory and Econometrics
Monetary Policy in the Context of Financial Crisis
New Challenges and Lessons
Inbunden, Engelska, 2015
1 549 kr
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This is Volume 24 of the monograph series International Symposia in Economic Theory and Econometrics. ISETE publishes proceedings of conferences and symposia, as well as research monographs of the highest quality and importance. All articles published in these volumes are refereed relative to the standards of the best journals, therefore not all papers presented at related symposia are published in these proceedings volumes. The topics chosen for these volumes are those of particular research importance at the time of the selection of the topic.
1 841 kr
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In recent decades, the financial markets have experienced various crises, shocks and disruptive events, driving high levels of volatility.
1 841 kr
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In recent decades, the financial markets have experienced various crises, shocks and disruptive events, driving high levels of volatility.
Market Microstructure and Nonlinear Dynamics
Keeping Financial Crisis in Context
Inbunden, Engelska, 2014
1 423 kr
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This book discusses market microstructure environment within the context of the global financial crisis. In the first part, the market microstructure theory is recalled and the main microstructure models and hypotheses are discussed.
Market Microstructure and Nonlinear Dynamics
Keeping Financial Crisis in Context
Häftad, Engelska, 2016
1 064 kr
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This book discusses market microstructure environment within the context of the global financial crisis. In the first part, the market microstructure theory is recalled and the main microstructure models and hypotheses are discussed. The second part focuses on the main effects of the financial downturn through an examination of market microstructure dynamics. In particular, the effects of market imperfections and the limitations associated with microstructure models are discussed. Finally, the new regulations and recent developments for financial markets that aim to improve the market microstructure are discussed. Well-known experts on the subject contribute to the chapters in the book. A must-read for academic researchers, students and quantitative practitioners.
Del 24 - Dynamic Modeling and Econometrics in Economics and Finance
Uncertainty, Expectations and Asset Price Dynamics
Essays in Honor of Georges Prat
Inbunden, Engelska, 2018
1 314 kr
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Written in honor of Emeritus Professor Georges Prat (University of Paris Nanterre, France), this book includes contributions from eminent authors on a range of topics that are of interest to researchers and graduates, as well as investors and portfolio managers. The topics discussed include the effects of information and transaction costs on informational and allocative market efficiency, bubbles and stock price dynamics, paradox of rational expectations and the principle of limited information, uncertainty and expectation hypotheses, oil price dynamics, and nonlinearity in asset price dynamics.
1 096 kr
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Emerging markets have received a particular attention of academic researchers and practitioners since they decided to open their domestic capital markets to foreign participants about three decades ago.
1 096 kr
Skickas inom 10-15 vardagar
Emerging markets have received a particular attention of academic researchers and practitioners since they decided to open their domestic capital markets to foreign participants about three decades ago.