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Financial Microeconometrics - Marek Gruszczyński

Financial Microeconometrics

A Research Methodology in Corporate Finance and Accounting
Buch | Softcover
XX, 215 Seiten
2020 | 1st ed. 2020
Springer International Publishing (Verlag)
978-3-030-34221-0 (ISBN)
CHF 179,70 inkl. MwSt
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This book explores new topics in modern research on empirical corporate finance and applied accounting, especially the econometric analysis of microdata. Dubbed "financial microeconometrics" by the author, this concept unites both methodological and applied approaches. The book examines how quantitative methods can be applied in corporate finance and accounting research in order to predict companies getting into financial distress. Presented in a clear and straightforward manner, it also suggests methods for linking corporate governance to financial performance, and discusses what the determinants of accounting disclosures are. Exploring these questions by way of numerous practical examples, this book is intended for researchers, practitioners and students who are not yet familiar with the variety of approaches available for data analysis and microeconometrics.

"This book on financial microeconometrics is an excellent starting point for research in corporate finance and accounting. In my view, the text is positioned between a narrative and a scientific treatise. It is based on a vast amount of literature but is not overloaded with formulae. My appreciation of financial microeconometrics has very much increased. The book is well organized and properly written. I enjoyed reading it."

Wolfgang Marty, Senior Investment Strategist, AgaNola AG

  

lt;b>Marek Gruszczynski is a professor at the Institute of Econometrics, SGH Warsaw School of Economics, Poland. His areas of expertise include applied econometrics, microeconometrics, time series forecasting, empirical corporate finance, fundamental analysis and corporate governance. He has authored textbooks, monographs and articles, with the book "Empirical Corporate Finance. Financial Microeconometrics" (2012, in Polish) having been honored in his native country with the prestigious "Beta" award (2013). His other book "Models and Forecasts of Qualitative Variables in Finance and Banking" (2002, in Polish) was granted the ministerial prize.

Introduction.- Models of Financial Microeconometrics.- Modeling Financial Distress and Bankrupcy.- Accounting Research and Disclosure Microeconometrics.- The Microeconometrics of  Corporate Governance.- Topics in Empirical Corporate Finance and Accounting. 

"The book delivers a compelling introduction and overview of FM and its many applications throughout finance and accounting. It is a distinguished starting point to explore this growing field and provides immense value for both practitioners and academics." (Matthias M. M. Buehlmaier, zbMATH 1444.91001, 2020)

Erscheinungsdatum
Zusatzinfo XX, 215 p. 10 illus.
Verlagsort Cham
Sprache englisch
Maße 155 x 235 mm
Gewicht 367 g
Themenwelt Wirtschaft Allgemeines / Lexika
Wirtschaft Volkswirtschaftslehre Ökonometrie
Schlagworte Applied accounting • Casuality • Corporate Governance • Empirical Corporate Finance • Equity Valuation • Financial disclosure • Financial distress and bankruptcy • Financial distress prediction • Financial microeconometrics • Models of qualitative variables • Value relevance of financial statements
ISBN-10 3-030-34221-2 / 3030342212
ISBN-13 978-3-030-34221-0 / 9783030342210
Zustand Neuware
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