02204nam0 2200493 i 450 VAN0012465120240806100816.953N978331992985920191023d2018 |0itac50 baengCH|||| |||||Economic and Financial Modelling with EViewsA Guide for Students and ProfessionalsAbdulkader Aljandali, Motasam TatahiChamSpringer2018xvii, 284 p.ill.24 cm001VAN001152882001 Statistics and Econometrics for Finance210 Berlin [etc.]SpringerVAN00236227Economic and Financial Modelling with EViews156471691-XXGame theory, economics, finance, and other social and behavioral sciences [MSC 2020]VANC025601MF91BxxMathematical economics [MSC 2020]VANC024654MF91GxxActuarial science and mathematical finance [MSC 2020]VANC020093MFAutoregressive ModelsKW:KCovarianceKW:KDummy variablesKW:KInference statisticsKW:KOne variable analysisKW:KQuantitative FinanceKW:KRandom variablesKW:KRegressionKW:KRisk assessmentKW:KTime seriesKW:KTwo-variable analysis correlationKW:KVolatility modelsKW:KCHChamVANL001889AljandaliAbdulkaderVANV089201756048TatahiMotasamVANV096087768234Springer <editore>VANV108073650ITSOL20241115RICAhttp://doi.org/10.1007/978-3-319-92985-9E-book – Accesso al full-text attraverso riconoscimento IP di Ateneo, proxy e/o ShibbolethBIBLIOTECA DEL DIPARTIMENTO DI MATEMATICA E FISICAIT-CE0120VAN08NVAN00124651BIBLIOTECA DEL DIPARTIMENTO DI MATEMATICA E FISICA08DLOAD e-book 1115 08eMF1115 20191023 Economic and Financial Modelling with EViews1564716UNICAMPANIA