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OverviewThe increasing volume of available data, the rapid advances in telecommunications, and the interrelationships of the global markets which are becoming stronger, create new challenges for researchers and practitioners in economics and finance. At the same time, the regulatory authorities are in a continuous attempt to establish effective rules for monitoring and regulating the global markets. As a result, the decision making process in economics and finance becomes more and more complex, thus requiring new advanced and sophisticated analysis methodologies to be developed and implemented. The contents of this volume cover a wide range of topics, including among others portfolio optimisation, stock market prediction and trading, auditing, investment decisions, banking management and corporate performance. Full Product DetailsAuthor: Constantin ZopounidisPublisher: Nova Science Publishers Inc Imprint: Nova Science Publishers Inc Dimensions: Width: 26.00cm , Height: 1.80cm , Length: 18.00cm Weight: 0.670kg ISBN: 9781613245583ISBN 10: 1613245580 Pages: 230 Publication Date: 01 February 2012 Audience: Professional and scholarly , Professional & Vocational Format: Hardback Publisher's Status: Active Availability: Awaiting stock ![]() The supplier is currently out of stock of this item. It will be ordered for you and placed on backorder. Once it does come back in stock, we will ship it out for you. Table of ContentsPreface; Duration Analysis of Economic Cycles: An Empirical Analysis Using Data from USA; Is Central Bank Interest Rate a Policy Tool for Disinflation? Evidence from Developing Economies; The Optimization of the Economic Segmentation by Means of Fuzzy Algorithms; Spatial Modeling Based on Economic, Demographic & Geographical Criteria: An Application on the Regionalization of Greece; Trading Knowledge; Impact of Outlier Returns on the CAPM Model: An Investigation Using the Huber's M Robust Estimation Method; On Modeling an Integrated Multiple Criteria Methodology for Supporting Common Stock Portfolio Construction Decisions; Moving Average, Neural Networks & Genetic Algorithms for Stock Market Prediction; A Memetic Algorithm for the Identification of Firms Receiving Qualified Audit Reports; Real Options Using Markov Chains: An Application to Production Capacity Decisions; Investment Decisions & Capital Adjustment Costs: Estimation of a Dynamic Discrete Choice Model Using Panel Data for Greek Manufacuting Firms; Comparative Performance Evaluation of Branches of a Large Greek Commercial Bank; A Comparative Financial Assessment of Producing & Marketing Cooperatives in Russia & Greece; Index.ReviewsAuthor InformationTab Content 6Author Website:Countries AvailableAll regions |