Selected Studies on Economics and Finance
Title | Selected Studies on Economics and Finance PDF eBook |
Author | Mehmet Serdar Erciş |
Publisher | Cambridge Scholars Publishing |
Pages | 360 |
Release | 2018-07-27 |
Genre | Business & Economics |
ISBN | 1527514781 |
Due to increased capital movements and the development of information technologies, economics and finance have recently become an area of interest for everyone. This book provides information on selected topics related to economics and finance for anyone who is interested in economics and finance. In addition, theoretical knowledge is provided for the different subjects in academic studies. For this reason, this study, which consists of 22 chapters, has selected different topics on the agenda.
Contemporary Issues in Business, Economics and Finance
Title | Contemporary Issues in Business, Economics and Finance PDF eBook |
Author | Simon Grima |
Publisher | Emerald Group Publishing |
Pages | 232 |
Release | 2020-09-02 |
Genre | Business & Economics |
ISBN | 1839096063 |
Contemporary Studies in Economic and Financial Analysis (CSEF 104) dedicates 16 chapters in articles and studies on Contemporary Issues of Business Economics and Finance. Authors contributed from the International Applied Social Science Congress, held in Turkey.
How to Write about Economics and Public Policy
Title | How to Write about Economics and Public Policy PDF eBook |
Author | Katerina Petchko |
Publisher | Academic Press |
Pages | 474 |
Release | 2018-07-12 |
Genre | Business & Economics |
ISBN | 0128130113 |
How to Write about Economics and Public Policy is designed to guide graduate students through conducting, and writing about, research on a wide range of topics in public policy and economics. This guidance is based upon the actual writing practices of professional researchers in these fields and it will appeal to practitioners and students in disciplinary areas such as international economics, macroeconomics, development economics, public finance, policy studies, policy analysis, and public administration. Supported by real examples from professional and student writers, the book helps students understand what is expected of writers in their field and guides them through choosing a topic for research to writing each section of the paper. This book would be equally effective as a classroom text or a self-study resource. - Teaches students how to write about qualitative and quantitative research in public policy and economics in a way that is suitable for academic consumption and that can drive public policy debates - Uses the genre-based approach to writing to teach discipline-appropriate ways of framing problems, designing studies, and writing and structuring content - Includes authentic examples written by students and international researchers from various sub-disciplines of economics and public policy - Contains strategies and suggestions for textual analysis of research samples to give students an opportunity to practice key points explained in the book - Is based on a comprehensive analysis of a research corpus containing 400+ research articles in various areas of public policy and economics
Mathematics for Economics and Finance
Title | Mathematics for Economics and Finance PDF eBook |
Author | Martin Anthony |
Publisher | Cambridge University Press |
Pages | 414 |
Release | 1996-07-13 |
Genre | Mathematics |
ISBN | 1139643266 |
Mathematics has become indispensable in the modelling of economics, finance, business and management. Without expecting any particular background of the reader, this book covers the following mathematical topics, with frequent reference to applications in economics and finance: functions, graphs and equations, recurrences (difference equations), differentiation, exponentials and logarithms, optimisation, partial differentiation, optimisation in several variables, vectors and matrices, linear equations, Lagrange multipliers, integration, first-order and second-order differential equations. The stress is on the relation of maths to economics, and this is illustrated with copious examples and exercises to foster depth of understanding. Each chapter has three parts: the main text, a section of further worked examples and a summary of the chapter together with a selection of problems for the reader to attempt. For students of economics, mathematics, or both, this book provides an introduction to mathematical methods in economics and finance that will be welcomed for its clarity and breadth.
Principles of Commodity Economics and Finance
Title | Principles of Commodity Economics and Finance PDF eBook |
Author | Daniel P. Ahn |
Publisher | MIT Press |
Pages | 229 |
Release | 2019-04-09 |
Genre | Business & Economics |
ISBN | 0262347881 |
A rigorous but practical introduction to the economic, financial, and political principles underlying commodity markets. Commodities have become one of the fastest growing asset classes of the last decade and the object of increasing attention from investors, scholars, and policy makers. Yet existing treatments of the topic are either too theoretical, ignoring practical realities, or largely narrative and nonrigorous. This book bridges the gap, striking a balance between theory and practice. It offers a solid foundation in the economic, financial, and political principles underlying commodities markets. The book, which grows out of courses taught by the author at Columbia and Johns Hopkins, can be used by graduate students in economics, finance, and public policy, or as a conceptual reference for practitioners. After an introduction to basic concepts and a review of the various types of commodities—energy, metals, agricultural products—the book delves into the economic and financial dynamics of commodity markets, with a particular focus on energy. The text covers fundamental demand and supply for resources, the mechanics behind commodity financial markets, and how they motivate investment decisions around both physical and financial portfolio exposure to commodities, and the evolving political and regulatory landscape for commodity markets. Additional special topics include geopolitics, financial regulation, and electricity markets. The book is divided into thematic modules that progress in complexity. Text boxes offer additional, related material, and numerous charts and graphs provide further insight into important concepts.
Economic and Financial Decisions under Risk
Title | Economic and Financial Decisions under Risk PDF eBook |
Author | Louis Eeckhoudt |
Publisher | Princeton University Press |
Pages | 245 |
Release | 2011-10-30 |
Genre | Business & Economics |
ISBN | 1400829216 |
An understanding of risk and how to deal with it is an essential part of modern economics. Whether liability litigation for pharmaceutical firms or an individual's having insufficient wealth to retire, risk is something that can be recognized, quantified, analyzed, treated--and incorporated into our decision-making processes. This book represents a concise summary of basic multiperiod decision-making under risk. Its detailed coverage of a broad range of topics is ideally suited for use in advanced undergraduate and introductory graduate courses either as a self-contained text, or the introductory chapters combined with a selection of later chapters can represent core reading in courses on macroeconomics, insurance, portfolio choice, or asset pricing. The authors start with the fundamentals of risk measurement and risk aversion. They then apply these concepts to insurance decisions and portfolio choice in a one-period model. After examining these decisions in their one-period setting, they devote most of the book to a multiperiod context, which adds the long-term perspective most risk management analyses require. Each chapter concludes with a discussion of the relevant literature and a set of problems. The book presents a thoroughly accessible introduction to risk, bridging the gap between the traditionally separate economics and finance literatures.
The Fama Portfolio
Title | The Fama Portfolio PDF eBook |
Author | Eugene F. Fama |
Publisher | University of Chicago Press |
Pages | 826 |
Release | 2017-09-07 |
Genre | Business & Economics |
ISBN | 022642684X |
Few scholars have been as influential in finance, both as an academic field and an industry, as Eugene Fama. Since writing his groundbreaking 1970 essay on efficient capital markets, Fama has written over 100 papers and books that have been cited hundreds of thousands of times. Yet there is no one collection where one can easily find his best work in all fields. "The Fama Portfolio" will be an outstanding and unprecedented resource in a field that still concentrates mainly on questions stemming from Fama s work: Is the finance industry too large or too small? Why do people continue to pay active managers so much? What accounts for the monstrous amount of trading? Do high-speed traders help or hurt? The ideas, facts, and empirical methods in Fama s work continue to guide these investigations. "The Fama Portfolio" will be a historic and long-lasting collection of some of the finest work ever produced in finance."