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Non-Linearity in Econometric Modeling

Jazyk AngličtinaAngličtina
Kniha Pevná
Kniha Non-Linearity in Econometric Modeling Sarit Maitra
Libristo kód: 49478243
Nakladateľstvo Springer-Verlag GmbH, január 2026
Nonlinear models are indispensable in modern finance, yet their reliance on numerical root-finding m... Celý popis
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VOYAGE EN FRANCE. LA CORSE. (1898). ARDOUIN-DUMAZET Kniha Pevná
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Nonlinear models are indispensable in modern finance, yet their reliance on numerical root-finding methods introduces layers of complexity that demand careful attention. This textbook offers a comprehensive and accessible guide to understanding these challenges and applying advanced econometric techniques to real-world financial and economic time series data.Designed for students, professionals, and researchers with a foundational background in statistics, econometrics, and finance, this book bridges the gap between theory and practice. It introduces key concepts 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 in econometrics can grasp and apply the material effectively.The book is organized into five chapters that progressively guide readers through key concepts in financial time series modeling. It begins with Chapter 1, which introduces data filtering techniques, emphasizing the Kalman Filter's role in improving model accuracy. Chapter 2 explores volatility modeling, addressing common challenges in measuring and interpreting variance in financial data. Chapter 3 builds on this by presenting hybrid approaches that combine GARCH models with neural networks to enhance predictive performance. Chapter 4 applies dynamic volatility models to option valuation, offering both theoretical insights and practical tools. Finally, Chapter 5 delves into regime-switching models, including MSAR (Markov Switching Auto Regressive) and STAR (Smooth Transition Auto Regressive), to capture nonlinear behaviors and structural shifts in time series data. Together, these chapters form a cohesive narrative on modeling the dynamic behavior of financial time series, with a particular emphasis on volatility and structural shifts. Whether you're a finance professional, economist, or data scientist, this book is an essential resource for mastering the tools and techniques that drive modern financial analysis.

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Informácie o knihe

Celý názov Non-Linearity in Econometric Modeling
Autor Sarit Maitra
Jazyk Angličtina
Väzba Kniha - Pevná
Dátum vydania 2026
Počet strán 188
EAN 9783032064615
ISBN 3032064619
Libristo kód 49478243
Nakladateľstvo Springer-Verlag GmbH
Váha 426
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