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Financial, Macro and Micro Econometrics Using R
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Financial, Macro and Micro Econometrics Using R

sidottu, 2020
englanti
Financial, Macro and Micro Econometrics Using R, Volume 42, provides state-of-the-art information on important topics in econometrics, including multivariate GARCH, stochastic frontiers, fractional responses, specification testing and model selection, exogeneity testing, causal analysis and forecasting, GMM models, asset bubbles and crises, corporate investments, classification, forecasting, nonstandard problems, cointegration, financial market jumps and co-jumps, among other topics.
ISBN
9780128202500
Kieli
englanti
Paino
310 grammaa
Julkaisupäivä
20.1.2020
Kustantaja
North-Holland
Sivumäärä
349