Forventes på lager: 06-01-2012
Alle Kategorier som dette produkt er en del af
Alle Kategorier som dette produkt er en del af
The underlying theme of this book will be on how empirical analysis can be used in Finance to test financial theory, model policy implications, and to forecast for investment purposes, rather than focusing in detail on the statistical and mathematical theory behind the models used. Empirical examples will be used throughout as pedagogical devices.