FREE CLICK & COLLECT SERVICE | SPEND 10 FOR FREE DELIVERY

Economic and financial modeling of markets, institutions and instruments

by Andrew C Worthington | 01 December 2014
Category: Economics
Synopsis
A model is a simplified representation of a real object or situation that facilitates our understanding and manipulation of the real thing. Models are therefore pervasive, not only in the everyday world, but in academic, industry and government research for the purpose of solving problems and making decisions. The cases addressed in this volume share a common focus in the use of economic and financial modelling techniques, but concern a wide variety of markets, institutions, and instruments. Each of the chapters illustrates well the complexity of modelling and some of the challenges faced when trying to simplify complex real world behaviour and outcomes using models. The contributors to the volume include academic and non-academic researchers with significant financial, mathematical, and statistical modelling experience. This mix ensures that the book has comprehensive coverage of many of the issues involved, is highly accessible to the professional and nonprofessional reader alike, and that it will serve as an authoritative source of information on economic and financial modelling and on the specific topic areas addressed for years to come.
€225.39
676 Reward Points
In stock online
Delivery in 5-7 Days
Eligible for free delivery

Any purchases for more than €10 are eligible for free delivery anywhere in the UK or Ireland!

Synopsis
A model is a simplified representation of a real object or situation that facilitates our understanding and manipulation of the real thing. Models are therefore pervasive, not only in the everyday world, but in academic, industry and government research for the purpose of solving problems and making decisions. The cases addressed in this volume share a common focus in the use of economic and financial modelling techniques, but concern a wide variety of markets, institutions, and instruments. Each of the chapters illustrates well the complexity of modelling and some of the challenges faced when trying to simplify complex real world behaviour and outcomes using models. The contributors to the volume include academic and non-academic researchers with significant financial, mathematical, and statistical modelling experience. This mix ensures that the book has comprehensive coverage of many of the issues involved, is highly accessible to the professional and nonprofessional reader alike, and that it will serve as an authoritative source of information on economic and financial modelling and on the specific topic areas addressed for years to come.
Quantity
Quantity
€225.39
676 Reward Points
In stock online
Delivery in 5-7 Days
Eligible for free delivery

Any purchases for more than €10 are eligible for free delivery anywhere in the UK or Ireland!

Quantity
Quantity

Product Details

ISBN - 9781634631112
Format -
Publisher -
Published - 01/12/2014
Categories - All, Books, Business Computers, Finance, Economics
No. of Pages - 322
Weight - 674
Edition -
Series - - Not Available
Page Size - 25
Language - en-US
Readership Age - Not Available
Table of Contents - Not Available

Delivery And Returns

Please Note: Items in our extended range may take longer to deliver. Delivery in 5-7 Days

Place an order for over €10 to receive free delivery to anywhere in Ireland and the UK! See our Delivery Charges section below for a full breakdown of shipping costs for all destinations.

 

Delivery Charges

  Ireland & UK* Europe & USA Australia & Canada Rest of World
Under €10 €3.80 €10 €15 €25
Over €10
Free €10 €15 €25

*Free delivery on all orders over €10 - only applies to order total.

All orders will be delivered by An Post.