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2003, ISBN 0387916245, xix, 632
This book represents an integration of theory, methods, and examples using the S-PLUS statistical modeling language and the S+FinMetrics module to facilitate... 
Time-series analysis | Mathematical models | Econometric models | S-Plus | Finance
Book
2005, Princeton series in finance, ISBN 9780691122555, xv, 538
..., regulators, or students of quantitative finance--with practical tools to solve real-world problems... 
Mathematical models | Risk management | Mathematical statistics | Finance | Insurance | Risk management-Mathematical models | Insurance-Mathematical models | Finance-Mathematical models
Book
2015, 1st edition., ISBN 9781137354075, xiii, 272
.... Based on the author's own experience as a professor and high-frequency trader, this book provides a step-by-step approach to understanding complex quantitative finance problems and building functional computer code... 
BUSINESS & ECONOMICS / Finance | Investment analysis | Corporations | Commodity exchanges | Stocks | Finance | Mathematical models | BUSINESS & ECONOMICS / Corporate Finance | BUSINESS & ECONOMICS / Foreign Exchange | Computer programs
Book
2012, ISBN 9780230368897, xvi, 294
In a challenge to conventional views on modern monetary and fiscal policy, this book presents a coherent analysis of how money is created, how it functions in... 
Monetary policy | Fiscal policy | Macroeconomics | Management science | Economics | Economic Policy | Business Finance | Economic Theory/Quantitative Economics/Mathematical Methods | Banking | Macroeconomics/Monetary Economics//Financial Economics | Finance, general
Book
1997, Applications of mathematics, ISBN 354061477X, Volume 36., xii, 512
The origin of this book can be traced to courses on financial mathemat­ ics taught by us at the University of New South Wales in Sydney, Warsaw University of... 
Fixed-income securities | Mathematical models | Options (Finance) | Finance | Derivative securities | Interest rates | Distribution (Probability theory | Statistics for Business, Management, Economics, Finance, Insurance | Probability Theory and Stochastic Processes | Statistics | Quantitative Finance | Finance, general
Book
Applied stochastic models in business and industry, ISSN 1526-4025, 1999
Journal
Entrepreneurship and Sustainability Issues, ISSN 2345-0282, 09/2017, Volume 5, Issue 1, pp. 43 - 57
The article takes place in the research area of the ongoing European project 'Cluster Development Med' (Horizon 2020) regarding the innovation and technology... 
Firm performance | Cluster | Cluster performance | Lithuania | Performance measurement | Economics and Finance | Statistical Finance | Methods and statistics | Computer Science | General Finance | Computational Engineering, Finance, and Science | Humanities and Social Sciences | Quantitative Finance
Journal Article
2015, ISBN 9781137478849, xi, 239
This book investigates the ways in which quantitative easing has caused a sequence of markets to become infected by asset price inflation. 
USA | Inflation | Notenbankpolitik | United States | Finance | Monetary policy | Board of Governors of the Federal Reserve System (U.S.) | Capital market | Wirtschaftskrise | Geldmengenpolitik | Realwirtschaft | Quantitative easing (Monetary policy) | Asset-backed financing
Book
2014, 1st edition., Radical theologies, ISBN 9781137475497, xx, 225
Wariboko offers a critical-philosophical perspective on the logics and dynamics of finance capital in the twenty-first century in order to craft a model of the care of the soul that will enable... 
Money | Moral and ethical aspects | Christianity | Religious aspects | Finance, Personal | Finance | Philosophy | Ethics | Philosophy of the Social Sciences | Moral Philosophy | Economic Theory/Quantitative Economics/Mathematical Methods | Political Philosophy | Religious Studies, general | Wealth
Book
2009, Wiley finance series, ISBN 047029292X, xvii, 299
The Petit D'euner de la Finance-which author Rama Cont has been co-organizing in Paris since 1998-is a well-known quantitative finance seminar that has progressively become a platform for the exchange... 
Finance | Mathematical models | Derivative securities
Book
2011, ISBN 0230248926, xvi, 269
Book
Economics letters, ISSN 0165-1765, 2017, Volume 161, pp. 1 - 4
This letter revisits the informational efficiency of the Bitcoin market. In particular we analyze the time-varying behavior of long memory of returns on... 
Hurst exponent | Volatility | Long range dependence | Bitcoin | STOCK RETURNS | MARKET | LONG-RANGE DEPENDENCE | ESTIMATORS | FINANCIAL TIME-SERIES | ECONOMICS | INFORMATIONAL EFFICIENCY
Journal Article
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