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The econometrics of individual risk[...
~
Gourieroux, Christian.
The econometrics of individual risk[electronic resource] :credit, insurance, and marketing /
紀錄類型:
書目-語言資料,印刷品 : Monograph/item
杜威分類號:
330.015195
書名/作者:
The econometrics of individual risk : credit, insurance, and marketing // Christian Gourieroux.
作者:
Gourieroux, Christian.
其他作者:
Jasiak, Joann.
出版者:
Princeton : : Princeton University Press,, 2007.
面頁冊數:
1 online resource (256 p.)
標題:
Banks and banking - Risk management.
標題:
Risk (Insurance)
標題:
Marketing - Risk management.
ISBN:
9781400829415 (electronic bk.)
ISBN:
1400829410 (electronic bk.)
ISBN:
1283339749
ISBN:
9781283339742
內容註:
Cover; Cover; Title Page; Title Page; Copyright Page; Copyright Page; Table of Contents; Table of Contents; List of Figures and Tables; List of Figures and Tables; Preface to the Second Edition; Preface to the Second Edition; Preface to the First Edition, 2000; Preface to the First Edition, 2000; Acknowledgments; Acknowledgments; Chapter One: The Stock Market in Historical Perspective; Chapter One: The Stock Market in Historical Perspective; Chapter Two: The Real Estate Market in Historical Perspective; Chapter Two: The Real Estate Market in Historical Perspective.
摘要、提要註:
The individual risks faced by banks, insurers, and marketers are less well understood than aggregate risks such as market-price changes. But the risks incurred or carried by individual people, companies, insurance policies, or credit agreements can be just as devastating as macroevents such as share-price fluctuations. A comprehensive introduction, The Econometrics of Individual Risk is the first book to provide a complete econometric methodology for quantifying and managing this underappreciated but important variety of risk. The book presents a course in the econometric theory of individual.
電子資源:
http://www.jstor.org/stable/10.2307/j.ctt7t5fb
The econometrics of individual risk[electronic resource] :credit, insurance, and marketing /
Gourieroux, Christian.
The econometrics of individual risk
credit, insurance, and marketing /[electronic resource] : Christian Gourieroux. - Princeton :Princeton University Press,2007. - 1 online resource (256 p.)
Cover; Cover; Title Page; Title Page; Copyright Page; Copyright Page; Table of Contents; Table of Contents; List of Figures and Tables; List of Figures and Tables; Preface to the Second Edition; Preface to the Second Edition; Preface to the First Edition, 2000; Preface to the First Edition, 2000; Acknowledgments; Acknowledgments; Chapter One: The Stock Market in Historical Perspective; Chapter One: The Stock Market in Historical Perspective; Chapter Two: The Real Estate Market in Historical Perspective; Chapter Two: The Real Estate Market in Historical Perspective.
The individual risks faced by banks, insurers, and marketers are less well understood than aggregate risks such as market-price changes. But the risks incurred or carried by individual people, companies, insurance policies, or credit agreements can be just as devastating as macroevents such as share-price fluctuations. A comprehensive introduction, The Econometrics of Individual Risk is the first book to provide a complete econometric methodology for quantifying and managing this underappreciated but important variety of risk. The book presents a course in the econometric theory of individual.
ISBN: 9781400829415 (electronic bk.)Subjects--Topical Terms:
383010
Banks and banking
--Risk management.
LC Class. No.: HG8054.5 / .G68 2011
Dewey Class. No.: 330.015195
The econometrics of individual risk[electronic resource] :credit, insurance, and marketing /
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Cover; Cover; Title Page; Title Page; Copyright Page; Copyright Page; Table of Contents; Table of Contents; List of Figures and Tables; List of Figures and Tables; Preface to the Second Edition; Preface to the Second Edition; Preface to the First Edition, 2000; Preface to the First Edition, 2000; Acknowledgments; Acknowledgments; Chapter One: The Stock Market in Historical Perspective; Chapter One: The Stock Market in Historical Perspective; Chapter Two: The Real Estate Market in Historical Perspective; Chapter Two: The Real Estate Market in Historical Perspective.
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Part One: Structural FactorsPart One: Structural Factors; Chapter Three: Precipitating Factors: The Capitalist Explosion, the Internet, and Other Events; Chapter Three: Precipitating Factors: The Capitalist Explosion, the Internet, and Other Events; Chapter Four: Amplification Mechanisms: Naturally Occurring Ponzi Processes; Chapter Four: Amplification Mechanisms: Naturally Occurring Ponzi Processes; Part Two: Cultural Factors; Part Two: Cultural Factors; Chapter Five: The News Media; Chapter Five: The News Media; Chapter Six: New Era Economic Thinking; Chapter Six: New Era Economic Thinking.
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Chapter Seven: New Eras and Bubbles around the WorldChapter Seven: New Eras and Bubbles around the World; Part Three: Psychological Factors; Part Three: Psychological Factors; Chapter Eight: Psychological Anchors for the Market; Chapter Eight: Psychological Anchors for the Market; Chapter Nine: Herd Behavior and Epidemics; Chapter Nine: Herd Behavior and Epidemics; Part Four: Attempts to Rationalize Exuberance; Part Four: Attempts to Rationalize Exuberance; Chapter Ten: Efficient Markets, Random Walks, and Bubbles; Chapter Ten: Efficient Markets, Random Walks, and Bubbles.
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Chapter Eleven: Investor Learning--and UnlearningChapter Eleven: Investor Learning--and Unlearning; Part Five: A Call to Action; Part Five: A Call to Action; Chapter Twelve: Speculative Volatility in a Free Society; Chapter Twelve: Speculative Volatility in a Free Society; Notes; References; References; Notes; Index; Index.
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The individual risks faced by banks, insurers, and marketers are less well understood than aggregate risks such as market-price changes. But the risks incurred or carried by individual people, companies, insurance policies, or credit agreements can be just as devastating as macroevents such as share-price fluctuations. A comprehensive introduction, The Econometrics of Individual Risk is the first book to provide a complete econometric methodology for quantifying and managing this underappreciated but important variety of risk. The book presents a course in the econometric theory of individual.
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http://www.jstor.org/stable/10.2307/j.ctt7t5fb
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