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Beskrivelse
Omtale
Neil Shephard has brought together a set of classic and central papers that have contributed to our understanding of financial volatility. They cover stocks, bonds and currencies and range from 1973 up to 2001. Shephard, a leading researcher in the field, provides a substantial introduction in which he discusses all major issues involved.
Detaljer
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Utgivelsesdato:
10.03.2005
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ISBN:
9780199257201
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Språk:
, Engelsk
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Forlag:
Oxford University Press -
Fagtema:
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Serie:
Advanced Texts in Econometrics
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Litteraturtype:
-
Sider:
536
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Høyde:
23.6 cm
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Bredde:
15.8 cm




