Wiley Finance A Practical Guide to Forecasting Financial Market Volatility, Book 303, Hardcover
AUD 114
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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
Product Details
| Book format | Hardcover |
| Fiction/nonfiction | Non-Fiction |
| Genre | Business & Investing |
| Publication date | May, 2005 |
| Pages | 200 |
| Subgenre | Business & Economics |
| Series title | Wiley Finance |
| Number in series | 303 |
| Edition | 1 |
| Publisher | Wiley |
| Original languages | English |
| Language | English |
| Binding type | Case Binding |
| Assembled product height | 9.14 in (23.2 cm) |
| Assembled product weight | 1.05 lb (480 grams) |
| Bisac subject heading | Business & Economics |
Who Should Buy?
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Finance Professionals
Ideal for professionals seeking advanced techniques for predicting market volatility and enhancing investment strategies.
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Academic Researchers
Useful for researchers studying financial models and market behavior, offering empirical analysis and theoretical insights.
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Students of Finance
Beneficial for finance students needing practical applications and examples to comprehend market volatility forecasting.
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Casual Investors
Not suitable for casual investors who prefer straightforward, easy-to-understand financial literature without technical jargon.
Product Description
Wiley Finance A Practical Guide to Forecasting Financial Market Volatility, Book 303, Hardcover
Customer Questions & Answers
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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.
Ser-Huang Poon All Books Editorial Review
Wiley Finance Practical Guide to Forecasting, Book 303, (Hardcover) is an essential resource for anyone interested in business and investing with a publication date of May 2005. This non-fiction book, part of the Wiley Finance series, spans 236 pages and is designed to provide insights into forecasting in financial contexts. The hardcover binding ensures durability, making it suitable for repeated use. Readers appreciate the clear explanations and practical applications presented throughout the book, enhancing their financial knowledge and forecasting skills. While it serves as a comprehensive guide, some may find it a bit dense in certain areas, requiring careful study for full comprehension.
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Pros
- Durable hardcover format for long-lasting use
- Comprehensive coverage of forecasting techniques
- Clear explanations for complex financial concepts
- Part of a respected Wiley Finance series
- Suitable for both students and professionals
Cons
- Content may be dense for casual readers
Platform Trust & Buyer Confidence
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Features & Benefits
- Essential for professionals and academics in finance.
- Focuses exclusively on forecasting financial market volatility.
- Covers a variety of popular volatility forecasting models.
- Offers practical guidance and proven techniques.
- Includes guidelines for real-world forecasting applications.
- Published in 2005, ensuring foundational knowledge in finance.
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