Intended primarily to prepare first-year graduate students for their ongoing work in econometrics, economic theory, and finance, this innovative book presents the fundamental concepts of theoretical econometrics, from measure-theoretic probability to statistics. A. Ronald Gallant covers these topics at an introductory level and develops the ideas to the point where they can be applied. He thereby provides the reader not only with a basic grasp of the key empirical tools but with sound intuition as well. In addition to covering the basic tools of empirical work in economics and finance, Gallant devotes particular attention to motivating ideas and presenting them as the solution to practical problems. For example, he presents correlation, regression, and conditional expectation as a means of obtaining the best approximation of one random variable by some function of another. He considers linear, polynomial, and unrestricted functions, and leads the reader to the notion of conditioning on a sigma-algebra as a means for finding the unrestricted solution. The reader thus gains an understanding of the relationships among linear, polynomial, and unrestricted solutions. Proofs of results are presented when the proof itself aids understanding or when the proof technique has practical value. A major text-treatise by one of the leading scholars in this field, An Introduction to Econometric Theory will prove valuable not only to graduate students but also to all economists, statisticians, and finance professionals interested in the ideas and implications of theoretical econometrics.
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A. Ronald Gallant
"An excellent book. It covers the measure-theoretic material in a very understandable way, while offering some very neat proofs and motivating arguments. Professionals as well as students will want to buy this text, as it offers a very useful compendium of results that one can refer to."--Adrian Pagan, Australian National University in Canberra
"An excellent book. It covers the measure-theoretic material in a very understandable way, while offering some very neat proofs and motivating arguments. Professionals as well as students will want to buy this text, as it offers a very useful compendium of results that one can refer to."--Adrian Pagan, Australian National University in Canberra
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Zustand: New. Intended primarily to prepare first-year graduate students for their ongoing work in econometrics, economic theory, and finance, this book presents the fundamental concepts of theoretical econometrics, from measure-theoretic probability to statistics. It also features ideas and presents them as solutions to practical problems. Num Pages: 208 pages, 21 line illus. 6 tables. BIC Classification: KCA; KCHS. Category: (P) Professional & Vocational; (U) Tertiary Education (US: College). Dimension: 241 x 164 x 17. Weight in Grams: 1548. . 1997. Hardcover. . . . . Books ship from the US and Ireland. Artikel-Nr. V9780691016450
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