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Wiley Finance A Practical Guide to Forecasting Financial Market Volatility, Book 303, (Hardcover)
A Practical Guide to Forecasting Financial Market Volatility provides practical guidance on this vital topic through an in-depth examination of a range of popular forecasting models.
Wiley Finance A Practical Guide to Forecasting Financial Market Volatility, Book 303, (Hardcover)
Item #: 147313752

Wiley Finance A Practical Guide to Forecasting Financial Market Volatility, Book 303, (Hardcover)

Item #: 147313752

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A Practical Guide to Forecasting Financial Market Volatility provides practical guidance on this vital topic through an in-depth examination of a range of popular forecasting models.
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What Stands Out

Expert Insights
Offers practical strategies from finance professionals, enhancing traders' understanding of market volatility and improving predictive accuracy for better decision-making.
Comprehensive Coverage
Integrates a wide range of methodologies, catering to both novice and experienced investors, ensuring readers can effectively interpret complex financial data.
Durable Format
Hardcover design ensures longevity, making this guide a reliable resource for consistent reference throughout fluctuating market conditions.

Product Details

Shop Wiley Finance A Practical Guide to Forecasting Financial Market Volatility, Book 303, (Hardcover) online at a best price in Cyprus. 24828144
  • Financial market volatility forecasting is one of today's most important areas of expertise for professionals and academics in investment, option pricing, and financial market regulation. While many books address financial market modelling, no single book is devoted primarily to the exploration of volatility forecasting and the practical use of forecasting models. A Practical Guide to Forecasting Financial Market Volatility provides practical guidance on this vital topic through an in-depth examination of a range of popular forecasting models. Details are provided on proven techniques for building volatility models, with guide-lines for actually using them in forecasting applications.
Book formatHardcover
Fiction/nonfictionNon-Fiction
GenreBusiness & Investing
Pub date20050101
Pages200
SubgenreBusiness & Economics
Series titleWiley Finance
Number in series303
Edition1
PublisherWiley
Original languagesEnglish
LanguageEnglish
Binding typeCase Binding
Assembled product height9.14 in (23.2 cm)
Assembled product weight1.05 lb (480 grams)
Bisac subject headingBusiness & Economics

Who Should Buy?

Suitable For
  • Finance Professionals

    Ideal for professionals seeking advanced techniques for predicting market volatility and enhancing investment strategies.

  • Academic Researchers

    Useful for researchers studying financial models and market behavior, offering empirical analysis and theoretical insights.

  • Students of Finance

    Beneficial for finance students needing practical applications and examples to comprehend market volatility forecasting.

Not Suitable For
  • Casual Investors

    Not suitable for casual investors who prefer straightforward, easy-to-understand financial literature without technical jargon.

  • General Readers

    May not engage general readers lacking prior finance or statistical knowledge required to understand complex concepts.

  • Beginner Traders

    Beginners might find this book too advanced without foundational knowledge in finance, statistics, and volatility concepts.

Product Description

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Customer Questions & Answers

  • Question: What is the publication date of the book?

    Answer: The book was published on May 27, 2005.
  • Question: How many pages does the book have?

    Answer: The book contains 200 pages.
  • Question: What is the ISBN of the book?

    Answer: The ISBN of the book is 9780470856130.

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