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Advances in Econometrics, Operational Research, Data Science and Actuarial Studies

Techniques and Theories
BuchKartoniert, Paperback
591 Seiten
Englisch
Springererschienen am19.01.20231st ed. 2022
This volume presents techniques and theories drawn from mathematics, statistics, computer science, and information science to analyze problems in business, economics, finance, insurance, and related fields.mehr
Verfügbare Formate
BuchGebunden
EUR181,89
BuchKartoniert, Paperback
EUR181,89

Produkt

KlappentextThis volume presents techniques and theories drawn from mathematics, statistics, computer science, and information science to analyze problems in business, economics, finance, insurance, and related fields.
Details
ISBN/GTIN978-3-030-85256-6
ProduktartBuch
EinbandartKartoniert, Paperback
Verlag
Erscheinungsjahr2023
Erscheinungsdatum19.01.2023
Auflage1st ed. 2022
Seiten591 Seiten
SpracheEnglisch
IllustrationenXXXIV, 591 p. 128 illus., 99 illus. in color.
Artikel-Nr.51811380
Rubriken

Inhalt/Kritik

Inhaltsverzeichnis
Chapter 1: The Cobb-Douglas production function for an exponential model.- Chapter 2: Threshold Unit Root Tests with Smooth Transitions.- Chapter 3: Jump connectedness in the European foreign exchange market.- Chapter 4:Modeling Currency Exchange Data with Asymmetric Copula Functions.- Chapter 5: The Joint Tests of the Parity Conditions: Evidence from a Small Open Economy.- Chapter 6: Stochastic volatility models with endogenous breaks in volatility forecasting.- Chapter 7: Effect in Quality Control Based of Hotelling T2 and CUSUM Control Chart Hakan EYGÜ.- Chapter 8: A Robust Regression Method Based on Pearson Type VI Distribution.- Chapter 9: Discrete Volatilities of Listed Real Estate Funds.- Chapter 10: Have Commodity Markets Political Nature?.- Chapter 11: A Nonlinear Panel ARDL Analysis of Pollution Haven/ Halo Hypothesis.- Chapter 12: An Investigation of Asymmetries in Exchange Rate Pass-through to Domestic Prices.- Chapter 13: Investigation of the Country-Specific Factors for URAP.- Chapter 14: The Impact of Outsourcing and Innovation on Industry 4.0.- Chapter 15: Subjective Well-Being of Poor Households.mehr

Schlagworte

Autor

M. Kenan Terzioglu received his MSc. degree in Actuarial Sciences from Hacettepe University, Ankara (Turkey). He studied at Tilburg University (Netherlands) in the Department of Econometrics and Operations between 2008 and 2009 while working in the Department of Actuarial Sciences at Hacettepe University between 2006 and 2009 as a Research Assistant. He worked as a Risk Analyst Assistant (Assistant Specialist) in Ziraat Bank Risk Management Department and received his Ph.D. degree in Econometrics from the Department of Econometrics at Gazi University, Ankara (Turkey). Since 2018, he has been working as an Associate Professor in the Econometrics Department at Trakya University, Edirne (Turkey). He is part of the management team at the Risk Management and Corporate Sustainability Application and Research Center at Trakya University. His research focuses on linear/non-linear time series analysis, financial econometrics, risk management, valuation method, and data sciences.
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Herausgegeben:Terzioglu, M. Kenan