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econo·met·ric [i:ˌkɒnəˈmetrɪk, americ -ˌkɑ:n-] ADJ inv téc

econometric ADJ CTRL

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inglês
Financial econometrics is the branch of financial economics that uses econometric techniques to parameterize the relationships suggested.
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Such concerns include mathematical well-posedness: the existence, uniqueness, and stability of any solutions to econometric equations.
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People working in the finance industry or researching the finance sector often use econometric techniques in a range of activities.
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A key concept in a broad study of economies (versus a particular econometric study of commodities and stock markets) is social relations.
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Credit rating agencies tend to use quantitative econometric models and focus on financial analysis, whereas political risk providers tend to use qualitative methods, focusing on political analysis.
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Financial economics examines topics such as the structure of optimal portfolios, the rate of return to capital, econometric analysis of security returns, and corporate financial behavior.
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In econometric modeling, he, in association with, developed the structural time-series approach for constructing new models and for checking the adequacy of old models.
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