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Stochastic Optimal Control, International Finance, and Debt Crises

"Stochastic Optimal Control, International Finance, and Debt Crises" is published by Oxford University Press, Incorporated in 2006 - Oxford, it has 286 pages and the language of the book is English.


“Stochastic Optimal Control, International Finance, and Debt Crises” Metadata:

  • Title: ➤  Stochastic Optimal Control, International Finance, and Debt Crises
  • Author:
  • Language: English
  • Number of Pages: 286
  • Publisher: ➤  Oxford University Press, Incorporated
  • Publish Date:
  • Publish Location: Oxford

“Stochastic Optimal Control, International Finance, and Debt Crises” Subjects and Themes:

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"Stochastic Optimal Control, International Finance, and Debt Crises" Description:

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Optimal debt and equilibrium exchange rates in a stochastic environment : an overview -- Stochastic optimal control model of short-term debt -- Stochastic intertemporal optimization : long-term debt continuous time -- The NATREX model and the equilibrium real exchange rate -- The equilibrium real value of the euro : an evaluation of research -- The transition economies : a NATREX evaluation of research -- Country default risk in emerging markets -- Asian crises : theory, evidence, warning signals -- United States current account deficits : a stochastic optimal control analysis

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