
The rapid advances in financial technology in the past decade have led to a commensurate increase in sophistication for modeling techniques researchers need to understand financial markets. This book offers advanced modelling techniques to analyse financial and economic systems, emphasizing model implementation using commonly used software systems. It shows readers how to explore complex structures without getting inundated with the underlying mathematics.
Author: Ramaprasad Bhar |
Publisher: Springer |
Publication Date: May 09, 2005 |
Number of Pages: 243 pages |
Binding: Hardback or Cased Book |
ISBN-10: 3540251235 |
ISBN-13: 9783540251231 |