Financial Risk and Real Economy: Time-varying Financial Risk and Real Economy: the Case of the Czech Republic - Vít Posta - Books - LAP LAMBERT Academic Publishing - 9783659307171 - April 25, 2013
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Financial Risk and Real Economy: Time-varying Financial Risk and Real Economy: the Case of the Czech Republic

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The recent and current turbulences in both real and financial sectors of the economies prove that the interactions between real and financial variables are crucial for understanding the behavior of assets? returns and economy as a whole, especially at a business cycle frequency. This study presents an analysis of some of the issues in the case of the Czech economy. It covers the estimation of time-varying risk premiums in the capital and foreign exchange market, risk spillovers among selected segments of the financial market, and the effects of increased financial risk on the real economy. It is accompanied by a broad list of references and in some parts advanced econometric techniques are used. The study is targeted at both practitioners and researchers as a source of economic information on the Czech economy and summary of current economic theory and methods relevant to this particular field of research.

Media Books     Paperback Book   (Book with soft cover and glued back)
Released April 25, 2013
ISBN13 9783659307171
Publishers LAP LAMBERT Academic Publishing
Pages 120
Dimensions 150 × 7 × 225 mm   ·   197 g
Language German