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Hard cover
$68.91

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Columbia, MD, USA

The Econometrics of Financial MarketsThe Econometrics of Financial Markets (Hardcover)
Pub. Date: 1996
Publisher: Princeton University Press
Price: $20.00
Seller: HPB-Red, Dallas, TX, USA
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Condition: Fair
The Econometrics of Financial MarketsThe Econometrics of Financial Markets (Hard cover)
Pub. Date: 1996
Publisher: Princeton University Press
Price: $20.69
Seller: SurplusTextSeller, Columbia, MO, USA
Condition: Good
Notes: Ships in a BOX from Central Missouri! May not include working access code. Will not include dust jacket. Has used sticker(s) and some writing or highlighting. UPS shipping for most packages, (Priority Mail for AK/HI/APO/PO Boxes).
 
 
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    The Econometrics of Financial Markets (Hard cover)
    Pub. Date: 1996
    Publisher: Princeton University Press
    Description: Good Condition; may contain minimal marking or notes to text; wear to cover; dust jacket has some wear.
    Condition: Good.
    Notes: Sewn binding. Cloth over boards. 632 p.

    William Michael Books
    Cave Springs, AR, USA
    $26.21
    The Economics of Financial Markets (HARDCOVER)
    Pub. Date: 1997
    Publisher: Princeton U
    Description: 611pp, octavo, hc w/jacket, tight binding, clean pages, clean boards with sharp corners, jacket is clean and glossy with a touch of wear to the top edge and a slightly loose fit.
    Condition: Fine in Very Good+ jacket

    Collins Books
    Seattle, WA, USA
    $27.00
    The Econometrics of Financial Markets (Hardcover)
    Pub. Date: 1996-12-09
    Publisher: Princeton University Press
    Condition: Like New
    Notes: Size: 9x6x1; Looks unread but jacket has been very neatly taped to the paste downs. Please email for photos.

    Griffin Books
    Stamford, CT, USA
    $49.50
    The Econometrics of Financial Markets (Hardcover)
    Pub. Date: 1996-12-09
    Publisher: Princeton University Press
    Condition: Good
    Notes: Textbook, May Have Highlights, Notes and/or Underlining, BOOK ONLY-NO ACCESS CODE, NO CD, Ships with Tracking.

    TEXTSHUB
    Franklin Lakes, NJ, USA
    $62.00
    The Econometrics of Financial Markets (Hardcover)
    Pub. Date: 1996-12-09
    Publisher: Princeton University Press
    Condition: New
    Notes: Size: 9x6x1; New. In shrink wrap. Looks like an interesting title!

    GridFreed
    North Las Vegas, NV, USA
    $74.88
    The Econometrics of Financial Markets (Hard cover)
    Pub. Date: 1996
    Publisher: Princeton University Press
    Condition: New.
    Notes: Sewn binding. Cloth over boards. 632 p.

    Ria Christie Books
    Uxbridge, MIDDLESEX, GBR
    $82.77
    The Econometrics of Financial Markets (Hard cover)
    Pub. Date: 1996
    Publisher: Princeton University Press
    Condition: New.
    Notes: Sewn binding. Cloth over boards. 632 p.

    Alibris
    Sparks, NV, USA
    $134.86
    Econometrics of Financial Markets (Hard cover)
    Pub. Date: 1996
    Publisher: Princeton University Press
    Condition: Good
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    TextbookRush
    Grandview Hts, OH, USA
    $26.80
    The Econometrics of Financial Markets (Hard cover)
    Pub. Date: 1997
    Publisher: Princeton University Press
    Notes: This is an ex-library book and may have the usual library/used-book markings inside. This book has hardback covers. In poor condition, suitable as a reading copy. Please note the Image in this listing is a stock photo and may not match the covers of the actual item, 1100grams, ISBN: 0691043019.

    Anybook.com
    Lincoln, GBR
    $34.75
 
 

More About The Econometrics of Financial Markets by Campbell, John Y, and Lo, Andrew W, Professor, and Mackinlay, A Craig
 
 
 
Overview

The past twenty years have seen an extraordinary growth in the use of quantitative methods in financial markets. Finance professionals now routinely use sophisticated statistical techniques in portfolio management, proprietary trading, risk management, financial consulting, and securities regulation. This graduate-level textbook is intended for PhD students, advanced MBA students, and industry professionals interested in the econometrics of financial modeling. The book covers the entire spectrum of empirical finance, including: the predictability of asset returns, tests of the Random Walk Hypothesis, the microstructure of securities markets, event analysis, the Capital Asset Pricing Model and the Arbitrage Pricing Theory, the term structure of interest rates, dynamic models of economic equilibrium, and nonlinear financial models such as ARCH, neural networks, statistical fractals, and chaos theory. Each chapter develops statistical techniques within the context of a particular financial application. This exciting new text contains a unique and accessible combination of theory and practice, bringing state-of-the-art statistical techniques to the forefront of financial applications. Each chapter also includes a discussion of recent empirical evidence, for example, the rejection of the Random Walk Hypothesis, as well as problems designed to help readers incorporate what they have read into their own applications.

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Details
  • PID: 15374101785
  • ISBN-13: 9780691043012
  • Publisher: Princeton University Press
  • Seller: GreatBookPrices-
    Description: 100% Money Back Guarantee. Brand New, Perfect Condition. We offer expedited shipping to all US locations. Over 3, 000, 000 happy customers.
    Condition: Fine.
    Notes: Sewn binding. Cloth over boards. 632 p.