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Essays on Financial Analytics

Applications and Methods

  • Book
  • © 2023

Overview

  • Includes scientific chapters on financial stability and sustainability
  • Focuses on the effects of health crisis on banking activities and financial engineering
  • Contains lessons learned from the CEOs roundtable discussion

Part of the book series: Lecture Notes in Operations Research (LNOR)

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Table of contents (14 chapters)

  1. Risk Assessment and Growth Models

  2. Cryptocurrency and Investment Policy

  3. Financial Strategy and Analytics

  4. Portfolio Management and Fintech

Keywords

About this book

This book covers recent research advances, methods and techniques, applications and projects in financial analytics, with a focus on the effects of the health crisis on banking activities and financial engineering. It explores the latest developments in banking regulation, banking and financial systems, financial engineering, and corporate finance in order to provide financial analytics that assess financial stability and sustainability.

Written for researchers and practitioners alike, the book is intended to promote stimulating scientific exchanges, ideas and experiences in the field of financial analytics for economics and management.


Editors and Affiliations

  • IAE, University of Lille, Lille, France

    Pascal Alphonse, Karima Bouaiss, Pascal Grandin

  • School of Production Engineering & Management, Technical University of Crete, Chania, Greece

    Constantin Zopounidis

About the editors

Dr. Pascal Alphonse is a Professor of Accounting and Finance at the University of Lille (France) and at SKEMA Business School (France). Having specialized in international accounting and company valuation, Professor Alphonse has published articles in leading scientific journals and books.

Dr. Karima Bouaiss is an Associate Professor at the University of Lille (France). Having specialized in banking regulation, corporate governance and innovation financing, Dr. Bouaiss has published articles in leading scientific journals.

Dr. Pascal Grandin is a Full Professor of Management Sciences at the University of Lille (France) and Dean of the IAE Lille University School of Management. Having specialized in portfolio management, corporate finance and behavioral finance, Professor Grandin has published articles in leading scientific journals and books.

Dr. Constantin Zopounidis is a Professor at the Technical University of Crete (Greece) and Audencia Business School (France). Having specialized in MCDM methods, financial decisions and operations research techniques, he has published several articles in leading scientific journals and books.



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