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This bestselling and thoroughly classroom-tested textbook is a complete resource for
finance students. A comprehensive and illustrated discussion of the most common
empirical approaches in finance prepares students for using econometrics in practice,
while detailed financial case studies help them understand how the techniques are used
in relevant financial contexts. Worked examples from the latest version of the popular
statistical software EViews guide students to implement their own models and interpret
results. Learning outcomes, key concepts and end-of-chapter review questions (with full
solutions online) highlight the main chapter takeaways and allow students to self-assess
their understanding. Building on the successful data- and problem-driven approach of
previous editions, this third edition has been updated with new data, extensive examples
and additional introductory material on mathematics, making the book more accessible
to students encountering econometrics for the first time. A companion website, with
numerous student and instructor resources, completes the learning package.
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