Contemporary Trends and Challenges in Finance

Proceedings from the 5th Wroclaw International Conference in Finance
Artikelnummer: 978-3-030-43077-1
Einband: Fester Einband
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This volume features a selection of contributions presented at the 2019 Wroclaw Conference in Finance, covering a wide range of topics in finance and financial economics, e.g. financial markets; monetary policy; corporate, personal and public finance; and risk management and insurance. Reflecting the diversity and richness of research in the field, the papers discuss both fundamental and applied finance, and offer a detailed analysis of current financial-market problems, including specifics of the Polish and Central European markets. They also examine the results of advanced financial modeling. Accordingly, the proceedings offer a valuable resource for researchers at universities and policy institutions, as well as graduate students and practitioners in economics and finance at both private and government organizations.

This volume features a selection of contributions presented at the 2019 Wroclaw Conference in Finance, covering a wide range of topics in finance and financial economics, e.g. financial markets; monetary policy; corporate, personal and public finance; and risk management and insurance. Reflecting the diversity and richness of research in the field, the papers discuss both fundamental and applied finance, and offer a detailed analysis of current financial-market problems, including specifics of the Polish and Central European markets. They also examine the results of advanced financial modeling. Accordingly, the proceedings offer a valuable resource for researchers at universities and policy institutions, as well as graduate students and practitioners in economics and finance at both private and government organizations.

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VerlagSpringer
EinbandFester Einband
Erscheinungsjahr2020
Seitenangabe260 S.
AusgabekennzeichenEnglisch
MasseH24.1 cm x B16.0 cm x D2.0 cm 559 g
AutorJajuga, Krzysztof (Hrsg.) / Locarek-Junge, Hermann (Hrsg.) / Orlowski, Lucjan T. (Hrsg.) / Staehr, Karsten (Hrsg.)

Über den Autor Krzysztof (Hrsg.) Jajuga

Krzysztof Jajuga is a Professor of Finance and Statistics and Chair of the Department of Financial Investments and Risk Management at the Wroclaw University of Economics and Business, Poland. He has been a Visiting Professor at several universities in the USA, Europe and China and holds an honorary doctorate from Cracow University of Economics and an honorary professorship from Warsaw University of Technology. His scientific interests include financial econometrics and financial markets, risk analysis and management, household finance and multivariate statistics. Grazyna Dehnel is an Associate Professor at the Department of Statistics, Poznan University of Economics and Business, Poland. Her main research interests include small area estimation, classification and data analysis methods, survey sampling, and short-term and structural business statistics. She is also interested in outlier robust regression applied on business data and data integration.  Marek Walesiak is a Professor of Economics, and Chair of the Department of Econometrics and Computer Science at the Wroclaw University of Economics and Business, Poland. He is a member of the Methodological Commission and the Scientific Statistical Council in Statistics Poland (GUS) and an active member of many scientific professional bodies, including the Section of Classification and Data Analysis (SKAD). His scientific interests are in classification and data analysis, composite indicators, multivariate statistical analysis, marketing research, and computational techniques in R.

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