تفاصيل الكتاب
تنسيق
غلاف ورقي
صفحات
282
لغة
الإنجليزية
منشور
Jun 27, 2013
الناشر
Cambridge University Press
الطبعة
Illustrated
رقم ISBN-10
1107630029
رقم ISBN-13
9781107630024
الوصف
In the realm of finance and economics, understanding volatility and the behaviors of heavy tails is crucial for accurate modeling and forecasting. Andrew C. C. Harvey delves into this intricate subject by exploring dynamic models that capture the time-varying nature of financial returns. His work emphasizes the significance of integrating these models into practical applications, providing insights that can transform how analysts and researchers approach time series data.
Harvey meticulously examines the challenges posed by changing volatility and the implications of heavy tails on risk assessment. He highlights the importance of employing robust statistical techniques to better comprehend financial phenomena. By connecting theoretical concepts with real-world applications, the author illustrates how these advanced models can enhance decision-making for investors and policymakers alike.
Through a detailed analysis, readers are encouraged to rethink traditional approaches to volatility modeling. Harvey’s findings not only contribute to the academic discourse but also serve as a valuable resource for practitioners seeking to navigate the complexities of financial and economic time series.
Harvey meticulously examines the challenges posed by changing volatility and the implications of heavy tails on risk assessment. He highlights the importance of employing robust statistical techniques to better comprehend financial phenomena. By connecting theoretical concepts with real-world applications, the author illustrates how these advanced models can enhance decision-making for investors and policymakers alike.
Through a detailed analysis, readers are encouraged to rethink traditional approaches to volatility modeling. Harvey’s findings not only contribute to the academic discourse but also serve as a valuable resource for practitioners seeking to navigate the complexities of financial and economic time series.
الأنواع
أعمال واقتصاد