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Linear and Non-Linear Financial Econometrics -Theory and Practice

Editor

Listed:
  • Mehmet Kenan Terzioglu
  • Gordana Djurovic
  • Martin M. Bojaj

Abstract

The importance of experimental economics and econometric methods increases with each passing day as data quality and software performance develops. New econometric models are developed by diverging from earlier cliché econometric models with the emergence of specialized fields of study. This book, which is expected to be an extensive and useful reference by bringing together some of the latest developments in the field of econometrics, also contains quantitative examples and problem sets. We thank all the authors who contributed to this book with their studies that provide extensive and accessible explanations of the existing econometric methods.

Individual chapters are listed in the "Chapters" tab

Suggested Citation

  • Mehmet Kenan Terzioglu & Gordana Djurovic & Martin M. Bojaj (ed.), 2021. "Linear and Non-Linear Financial Econometrics -Theory and Practice," Books, IntechOpen, number 6733, January-J.
  • Handle: RePEc:ito:pbooks:6733
    DOI: 10.5772/intechopen.88099
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    Book Chapters

    The following chapters of this book are listed in IDEAS

    More about this item

    JEL classification:

    • C01 - Mathematical and Quantitative Methods - - General - - - Econometrics

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