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John Y. Campbell, Andrew W. Lo, Archie Craig MacKinlay - The Econometrics of Financial Markets

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John Y. Campbell, Andrew W. Lo, Archie Craig MacKinlay - The Econometrics of Financial Markets
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The past twenty years have seen an extraordinary growth in the use of quantitative methods in financial markets. Finance professionals now routinely use sophisticated statistical techniques in portfolio management, proprietary trading, risk management, financial consulting, and securities regulation. This graduate-level textbook is intended for PhD students, advanced MBA students, and industry professionals interested in the econometrics of financial modeling. The book covers the entire spectrum of empirical finance, including: the predictability of asset returns, tests of the Random Walk Hypothesis, the microstructure of securities markets, event analysis, the Capital Asset Pricing Model and the Arbitrage Pricing Theory, the term structure of interest rates, dynamic models of economic equilibrium, and nonlinear financial models such as ARCH, neural networks, statistical fractals, and chaos theory. Each chapter develops statistical techniques within the context of a particular financial application. This ex
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Key Information
Authors John Y. Campbell
Nonfiction Category Business & Economics
Nonfiction Subcategory
Awards 1997 Hawkins Award

Book Editions
Book Editions HardcoverIllustrated611November 01, 1996Princeton Univ Pr10"(h) x 6.75"(w) x 1.5"(d), 2.2 lbs.9780691043012

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