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Handbook of Research Methods and Applications in Empirical Macroeconomics
  • Language: en
  • Pages: 627

Handbook of Research Methods and Applications in Empirical Macroeconomics

This comprehensive Handbook presents the current state of art in the theory and methodology of macroeconomic data analysis. It is intended as a reference for graduate students and researchers interested in exploring new methodologies, but can also be employed as a graduate text. The Handbook concentrates on the most important issues, models and techniques for research in macroeconomics, and highlights the core methodologies and their empirical application in an accessible manner. Each chapter is largely self-contained, whilst the comprehensive introduction provides an overview of the key statistical concepts and methods. All of the chapters include the essential references for each topic and...

Price Cap Regulation and Information Acquisition
  • Language: en
Banking Finance & Accounting
  • Language: en
  • Pages: 212

Banking Finance & Accounting

  • Type: Book
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  • Published: 2005
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  • Publisher: Lotus Press

None

The Economics of UK-EU Relations
  • Language: en
  • Pages: 302

The Economics of UK-EU Relations

  • Type: Book
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  • Published: 2017-11-20
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  • Publisher: Springer

This book brings together contributions from leading scholars around the world on the most relevant and pressing economic themes surrounding the UK–EU relationship. With chapters spanning from the UK’s accession to the bloc to the aftermath of its decision to leave, the book explores key themes in UK economic growth and EU membership, international trade, foreign direct investment, financial markets and migration. Chapters interrogate the history of the relationship, the depth of foreign direct investment, and responses to the financial crisis. Considering both the history and future of UK and EU relations, the book is a relevant and timely volume that gives welcome context to a fast-changing relationship.

Risk-Neutral Valuation
  • Language: en
  • Pages: 447

Risk-Neutral Valuation

This second edition - completely up to date with new exercises - provides a comprehensive and self-contained treatment of the probabilistic theory behind the risk-neutral valuation principle and its application to the pricing and hedging of financial derivatives. On the probabilistic side, both discrete- and continuous-time stochastic processes are treated, with special emphasis on martingale theory, stochastic integration and change-of-measure techniques. Based on firm probabilistic foundations, general properties of discrete- and continuous-time financial market models are discussed.

Monetary Policy Rules, Real Rigidity and Endogenous Persistence
  • Language: en
  • Pages: 24

Monetary Policy Rules, Real Rigidity and Endogenous Persistence

  • Type: Book
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  • Published: 2002
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  • Publisher: Unknown

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Personal Finance
  • Language: en
  • Pages: 366

Personal Finance

This new title makes the principles of personal financial planning clear and accessible, using engaging case studies and extensive examples to introduce students from a variety of disciplines to an essential set of skills. Encouraging students to take control of their finances, the book moves through fundamentals, including budgeting and managing debt, to engage with major issues and life events where financial literacy is key. Pedagogical features including learning objectives, case studies, terminology boxes, ponder points, examples, and questions help the students to develop their practical skills and show them how to make informed financial decisions. The text is also supported by an Online Resource Centre. Online Resource Centre: For students Online updates Links to relevant websites For lecturers Two extended case studies A full set of customisable PowerPoint slides for each chapter Answers to selected exercises in the text

Bank Credit, Capital and Crises
  • Language: en

Bank Credit, Capital and Crises

  • Type: Book
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  • Published: 2019
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  • Publisher: Unknown

None

Financial Crises: Types, Causes and Consequences
  • Language: en
  • Pages: 305

Financial Crises: Types, Causes and Consequences

While the world is witnessing a new wave of financial slowdown and great recession due to the coronavirus pandemic, the understanding of financial crises has not been complete. The contributors of this book look into financial crises from economic, legal, political science, social science lens with the aim of understanding the types, causes, consequences and impacts of financial crises in a comprehensive way. More importantly, the authors investigate regulatory responses, regulatory effectiveness, regulatory responses by applying a variety of approaches and methodologies through the study of financial, corporate, business, healthcare, capital market, banking sectors. This is a timely contribution to our understanding of financial crises and preparation for the next financial recession on the horizon.