Financial Market Risk
Measurement and Analysis
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- 169,00 kr
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- 169,00 kr
Publisher Description
This new book uses advanced signal processing technology to measure and analyze risk phenomena of the financial markets. It explains how to scientifically measure, analyze and manage non-stationarity and long-term time dependence (long memory) of financial market returns. It studies, in particular, financial crises in persistent financial markets,
Other Books in This Series
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Digital Finance and the Future of the Global Financial System
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Central Banks in Organizational Networks
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Pension Fund Capitalism
2022
Financialization, Financial Literacy, and Social Education
2021