Stock Market Volatility: Cross-Country Analysis

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Details

Stock market volatility has its application in a variety of advanced financial decisions like construction of portfolio of financial assets; hedging of systematic risks; pricing of financial derivatives and options on stock indices; calculation of required rate of return and evaluation of the performance of mutual funds. All the above decisions require the estimation of volatility accurately with exact precision by using parsimonious models. The present book: Stock Market Volatility: Cross-Country Analysis has been undertaken to study during 01.07.1995 to 31.07.2015 by developing mathematical models for calculating and comparing stock market volatilities of both selected developed and emerging market economies which take care of the stylized features of clustering, asymmetry and persistence. This book is designed to share the stimulating, challenging, fascinating, and sometimes frustrating world of research supported decision-making policy makers, investors, financial researchers in Finance, Statistics, Applied Statistics, Management and Commerce.

Autorentext

Prof. Padmabati Gahan, specialized in the area of Advance Financial, Econometric & Operations Research modeling and Dr. Monalisha Pattnaik, specialized in the area of Operations Research modeling, Applied Mathematics & Applied Statistics at the Post Graduate Department of Business Administration, Sambalpur University, India.

Weitere Informationen

  • Allgemeine Informationen
    • GTIN 09783330341531
    • Sprache Englisch
    • Titel Stock Market Volatility: Cross-Country Analysis
    • Veröffentlichung 05.07.2017
    • ISBN 333034153X
    • Format Kartonierter Einband
    • EAN 9783330341531
    • Jahr 2017
    • Größe H220mm x B150mm x T6mm
    • Autor Padmabati Gahan
    • Untertitel Stylized Features of Volatility
    • Genre Management
    • Anzahl Seiten 100
    • Herausgeber LAP LAMBERT Academic Publishing
    • Gewicht 167g

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