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Written by one of the leading experts in the field, this book focuses on the interplay between model specification, data collection, and econometric testing of dynamic asset pricing models. The first several chapters provide an in-depth treatment of the econometric methods used in ***yzing financial time-series models. The remainder explores the goodness-of-fit of preference-based and no-arbitrage models of equity returns and the term structure of interest rates; equity and fixed-income derivatives prices; and the prices of defaultable securities. Singleton addresses the restricti*** on the joint distributi*** of asset returns and other economic variables implied by dynamic asset pricing models, as well as the interplay between model formulation and the choice of econometric estimation strategy. For each pricing problem, he provides a comprehensive overview of the empirical evidence on goodness-of-fit, with tables and graphs that facilitate critical assessment of the current state of the relevant li***tures. As an added feature, Singleton includes throughout the book interesting tidbits of new research. These range from empirical results (not reported elsewhere, or updated from Singleton's previous papers) to new observati*** about model specification and new econometric methods for testing models. Clear and comprehensive, the book will appeal to researchers at financial instituti*** as well as advanced students of economics and finance, mathematics, and science.
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书籍介绍
Written by one of the leading experts in the field, this book focuses on the interplay between model specification, data collection, and econometric testing of dynamic asset pricing models. The first several chapters provide an in-depth treatment of the econometric methods used in ***yzing financial time-series models. The remainder explores the goodness-of-fit of preference-based and no-arbitrage models of equity returns and the term structure of interest rates; equity and fixed-income derivatives prices; and the prices of defaultable securities. Singleton addresses the restricti*** on the joint distributi*** of asset returns and other economic variables implied by dynamic asset pricing models, as well as the interplay between model formulation and the choice of econometric estimation strategy. For each pricing problem, he provides a comprehensive overview of the empirical evidence on goodness-of-fit, with tables and graphs that facilitate critical assessment of the current state of the relevant li***tures. As an added feature, Singleton includes throughout the book interesting tidbits of new research. These range from empirical results (not reported elsewhere, or updated from Singleton's previous papers) to new observati*** about model specification and new econometric methods for testing models. Clear and comprehensive, the book will appeal to researchers at financial instituti*** as well as advanced students of economics and finance, mathematics, and science.
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- 网友 苍***如:
什么格式都有的呀。
- 网友 郗***兰:
网站体验不错
- 网友 田***珊:
可以就是有些书搜不到
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就是我想要的!!!
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请问,能在线转换格式吗?
- 网友 龚***湄:
差评,居然要收费!!!
- 网友 寿***芳:
可以在线转化哦
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还不错啊,挺好
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下载方式特简单,一直点就好了。
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听说内置一千多万的书籍,不知道真假的
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够人性化!
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差评。这个是收费的
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推荐,啥格式都有
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好,真的挺使用的!
- 网友 印***文:
我很喜欢这种风格样式。
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