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ISBN
:
9781840644975
Publisher
:
Edward Elgar Pub
Subject
:
Business & Management, Finance & Accounting
Binding
:
HARDCOVER
Pages
:
1248
Year
:
2002
₹
85172.0
₹
81765.0
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View DetailsDescription
The forecasting of financial markets has engaged the attention of market professionals and academic economists and statisticians for many years, and has also attracted the interest of numerous "amateur" investors. This two-volume set brings together key papers in this field. After considering some of the earliest attempts at forecasting, it provides an insight into the theoretical underpinnings of the subject, investigates the random walk model, and examines various financial markets, volatility and density forecasting, the forecasting of extreme events, trading rules, technical analysis and high frequency data.
Author Biography
Terence C. Mills, Professor of Economics, Loughborough University, UK
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