Financial Econometrics and Quantitative Economic Analysis
This Special Issue of the Journal of Risk and Financial Management presents ten original, peer-reviewed contributions that critically examine the evolving landscape of financial econometrics and quantitative economic analysis. Utilising rigorous empirical investigation and methodological advancement...
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| Médium: | Online |
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| Jazyk: | angličtina |
| Vydáno: |
MDPI - Multidisciplinary Digital Publishing Institute
2025
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| Témata: | |
| On-line přístup: | ONIX_20250812T110751_9783725841516_352 |
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| _version_ | 1863737704855896064 |
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| collection | Directory of Open Access Books |
| description | This Special Issue of the Journal of Risk and Financial Management presents ten original, peer-reviewed contributions that critically examine the evolving landscape of financial econometrics and quantitative economic analysis. Utilising rigorous empirical investigation and methodological advancement as a framework, the articles engage with a range of timely and significant topics, including herding behaviour in MENA stock markets, the impact of anti-corruption policies on financial development, real options theory as it pertains to sustainability, and the economics of post-COVID-19 tourism. The assembled research underscores the dynamic interplay between theoretical modelling and empirical decision making. Central themes encompass the calibration of macroeconomic policy, high-frequency data analysis, the interactions between inflation and exchange rates, and advanced forecasting methodologies enhanced by emerging technologies. This reprint serves as a homage to the field's intellectual legacy while propelling novel approaches to volatility modelling, financial cycle stability, and strategic business collaboration. |
| format | Online |
| id | doab-20.500.12854ir-165597 |
| institution | Directory of Open Access Books |
| language | eng |
| publishDate | 2025 |
| publishDateRange | 2025 |
| publishDateSort | 2025 |
| publisher | MDPI - Multidisciplinary Digital Publishing Institute |
| publisherStr | MDPI - Multidisciplinary Digital Publishing Institute |
| record_format | ojs |
| spelling | doab-20.500.12854ir-1655972025-08-12T09:58:46Z Financial Econometrics and Quantitative Economic Analysis Gričar, Sergej Lojanica, Nemanja Backović, Tamara econometrics finance quantitative economics secondary data thema EDItEUR::W Lifestyle, Hobbies and Leisure::WC Antiques, vintage and collectables::WCF Collecting coins, banknotes, medals and other related items This Special Issue of the Journal of Risk and Financial Management presents ten original, peer-reviewed contributions that critically examine the evolving landscape of financial econometrics and quantitative economic analysis. Utilising rigorous empirical investigation and methodological advancement as a framework, the articles engage with a range of timely and significant topics, including herding behaviour in MENA stock markets, the impact of anti-corruption policies on financial development, real options theory as it pertains to sustainability, and the economics of post-COVID-19 tourism. The assembled research underscores the dynamic interplay between theoretical modelling and empirical decision making. Central themes encompass the calibration of macroeconomic policy, high-frequency data analysis, the interactions between inflation and exchange rates, and advanced forecasting methodologies enhanced by emerging technologies. This reprint serves as a homage to the field's intellectual legacy while propelling novel approaches to volatility modelling, financial cycle stability, and strategic business collaboration. 2025-08-12T09:58:43Z 2025-08-12T09:58:43Z 2025 book ONIX_20250812T110751_9783725841516_352 9783725841516 9783725841523 https://directory.doabooks.org/handle/20.500.12854/165597 eng image/jpeg Attribution 4.0 International https://mdpi.com/books https://mdpi.com/books/pdfview/book/11033 MDPI - Multidisciplinary Digital Publishing Institute 10.3390/books978-3-7258-4152-3 10.3390/books978-3-7258-4152-3 46cabcaa-dd94-4bfe-87b4-55023c1b36d0 9783725841516 9783725841523 242 open access |
| spellingShingle | econometrics finance quantitative economics secondary data thema EDItEUR::W Lifestyle, Hobbies and Leisure::WC Antiques, vintage and collectables::WCF Collecting coins, banknotes, medals and other related items Financial Econometrics and Quantitative Economic Analysis |
| title | Financial Econometrics and Quantitative Economic Analysis |
| title_full | Financial Econometrics and Quantitative Economic Analysis |
| title_fullStr | Financial Econometrics and Quantitative Economic Analysis |
| title_full_unstemmed | Financial Econometrics and Quantitative Economic Analysis |
| title_short | Financial Econometrics and Quantitative Economic Analysis |
| title_sort | financial econometrics and quantitative economic analysis |
| topic | econometrics finance quantitative economics secondary data thema EDItEUR::W Lifestyle, Hobbies and Leisure::WC Antiques, vintage and collectables::WCF Collecting coins, banknotes, medals and other related items |
| topic_facet | econometrics finance quantitative economics secondary data thema EDItEUR::W Lifestyle, Hobbies and Leisure::WC Antiques, vintage and collectables::WCF Collecting coins, banknotes, medals and other related items |
| url | ONIX_20250812T110751_9783725841516_352 |