Edward ElgarSivumäärä: 1200 sivuaAsu: Kovakantinen kirjaJulkaisuvuosi: 2003, 29.10.2003 (lisätietoa)Kieli: Englanti This two-volume set brings together some of the most significant previously published articles by leading scholars in the field. The volumes investigate various aspects of financial forecasting including the forecasting of earnings, bankruptcy, stock prices, interest rates, exchange rates and risk. The articles within each section offer an overview of both statistical models and technical analysis in the subject area.The editors have written an authoritative new introduction to complement their selection.