Panel data analysis
Classical finance has undergone a major change in recent years. In our modern world, where risk becomes more complex and difficult to calculate, more sophisticated mathematical techniques and products are needed to quantify such new risks. The financial sector should have a solid structure in order...
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Veröffentlicht in: | Handbook of research on emerging theories, models, and applications of financial econometrics |
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Format: | UnknownFormat |
Sprache: | eng |
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2021
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