Financial Econometrics is an interdisciplinary subject that uses statistical methods and economic theory to address a variety of quantitative problems in finance.
Wherever possible, the authors indicate where to find the releva.
The mathematical level is purposely kept moderate, allowing the power of the quantitative methods to be understood without too much technical detail.
This compact, master\'s-level textbook focuses on methodology and includes real Financial data illustrations throughout.
Financial Econometrics is an interdisciplinary subject that uses statistical methods and economic theory to address a variety of quantitative problems in finance