Sarit Maitra: Non-Linearity in Econometric Modeling, Vol. 2, Gebunden
Non-Linearity in Econometric Modeling, Vol. 2
- Empirical Applications and Source Code
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- Verlag:
- Springer Nature Switzerland AG, 03/2026
- Einband:
- Gebunden
- Sprache:
- Englisch
- ISBN-13:
- 9783032163035
- Artikelnummer:
- 12667747
- Umfang:
- 202 Seiten
- Erscheinungstermin:
- 30.3.2026
- Serie:
- Dynamic Modeling and Econometrics in Economics and Finance
- Hinweis
-
Achtung: Artikel ist nicht in deutscher Sprache!
Klappentext
Nonlinear models have become indispensable in modern finance and economics, yet their reliance on numerical root-finding methods introduces layers of complexity that demand rigorous attention. This second volume of the two-part series offers a comprehensive and accessible guide to tackling these challenges and applying advanced econometric techniques to real-world financial and economic time series data.
Designed for students, professionals, and researchers with a solid foundation in statistics, econometrics, and finance, this book bridges the gap between theory and practice. Concepts are introduced progressively, making it suitable for both intermediate and advanced readers. Each chapter is written in clear, approachable language, ensuring that even those with limited prior experience can grasp and apply the material effectively.
Key Topics Include:
- Fundamentals of Non-Linear Dynamics
- Endogeneity in Econometric Models
- Asymmetric Pricing
- Physics-Inspired Gravity Models in Economics
- Artificial Intelligence and Machine Learning for Fraud Analytics
With practical examples, source code, and interdisciplinary insights, this volume empowers readers to navigate the complexities of nonlinear econometric modeling and apply cutting-edge techniques to contemporary challenges in finance and trade.
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