Empirical Finance

Vrije Universiteit Amsterdam (VU)

Here are the best resources to pass Empirical Finance. Find Empirical Finance study guides, notes, assignments, and much more.

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Summary Empirical Finance, P1 MSc Finance
  • Summary Empirical Finance, P1 MSc Finance

  • Summary • 63 pages • 2023
  • Summary for the course Empirical Finance, given in period 1 of the Master of Finance at the VU. This summary greatly covers all theoretical subjects which are taught in this course .
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Empirical Finance (EF) - Summary Lectures
  • Empirical Finance (EF) - Summary Lectures

  • Summary • 50 pages • 2022
  • This is a summary about all the lectures of Empirical Finance given in 2022
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Summary of STATA clips for Empirical Finance
  • Summary of STATA clips for Empirical Finance

  • Summary • 4 pages • 2020
  • Available in package deal
  • This document is a summary of all relevant content in the STATA clips for the course Empirical finance.
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Complete summary of lectures for Empirical Finance
  • Complete summary of lectures for Empirical Finance

  • Summary • 65 pages • 2020
  • Available in package deal
  • This is a complete summary of all the lectures of the course Empirical Finance. This is a course which is given in several masters, such as the regular finance master, the FinTech master etc.
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Key concepts Empirical Finance summary Key concepts Empirical Finance summary
  • Key concepts Empirical Finance summary

  • Summary • 5 pages • 2020
  • The key concept summary contains the most import concepts with detailed breakdown.
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Empirical Finance: Complete formula overview per topic Empirical Finance: Complete formula overview per topic
  • Empirical Finance: Complete formula overview per topic

  • Summary • 2 pages • 2020
  • This document provides all formulas per topic relevant for the course Empirical Finance and the exam!
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Summary Empirical Finance Summary Empirical Finance
  • Summary Empirical Finance

  • Summary • 45 pages • 2019
  • Summary of my (handwritten) notes from all Empirical Finance PowerPoints and the Introductory Econometrics for Finance book (C. Brooks, 4th edition). It contains the following book chapters: CH1.1-1.6, CH2, CH3, CH4.1-4.9, CH12.1-12.8, CH11 (excl. 11.8), CH5, CH14.1, CH6.1-6.7 & 6.10, CH9.1-9.14, 9.16 & 9.18 and CH8.1-8.2
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Summary - Panel Data Summary - Panel Data
  • Summary - Panel Data

  • Summary • 15 pages • 2017
  • Available in package deal
  • This summary provides a good explanation of the panel data. It goes into explaining the meaning of panel data, how to deal with panel data regressions, pooled regressions with examples from the class, fixed effects, time and firm fixed effects and random effects model. It explains the within and between estimator, the interpretation of the models, the Hausman test together with the interpretation of the stata table, some exam questions, and at the end it goes into the clustered standard errors....
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